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Where the Rubber Meets the Road (EP.10)
Where the Rubber Meets the Road (EP.10)
How we can prepare for every investment scenario. We discuss: Risk Parity and Futures Markets Leverage and Value Divers... Read more
12 Mar 2021
•
18mins
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Liquidity Crashes (EP.09)
Liquidity Crashes (EP.09)
How can we manage for scenarios when Liquidity evaporates? We discuss: The mechanics of a Liquidity Shock The Fed and t... Read more
12 Mar 2021
•
20mins
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Extracting Benefits From Anomalies (EP.08)
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How can we move from Factor Beta to Alpha? We discuss: Swensen, Yale and aligning incentives The cycles of factor inves... Read more
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Adding More Bets (EP.07)
Adding More Bets (EP.07)
What additional Sleeves can we add to maximize diversity? We discuss: Style premia, factors, smart beta – the benefits ... Read more
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Sticking Points (EP.06)
Sticking Points (EP.06)
How do we eat Sharpe ratio and meet financial goals with a maximally diversified portfolio? We discuss: Using leverage ... Read more
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The Rebalancing Premium (EP.05)
The Rebalancing Premium (EP.05)
Traditional yields are low, so how do we meet our funding obligations? We discuss: Rebalancing highly diversified portf... Read more
12 Mar 2021
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Balance (EP.04)
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Diversity of investments only produces “diversification” if asset classes are held in proper balance. We discuss: The 6... Read more
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Preparation Before Prediction (EP.03)
Preparation Before Prediction (EP.03)
Investors are often prone to “home-country” equity bias and other heuristics that leave them under-exposed to the world’... Read more
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Decision Making (EP.02)
Decision Making (EP.02)
Philip Tetlock’s research on the qualities of Super-forecasters explains why forecasting is hard and how diverse models ... Read more
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Stewarding Long-Lived Wealth (EP.01)
Stewarding Long-Lived Wealth (EP.01)
Anyone who is responsible for stewarding wealth, from a high net worth person, to a family office, to an investment firm... Read more
12 Mar 2021
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19mins