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SI324: Embracing Uncertainty using Adaptive Models ft. Richard Brennan

Top Traders Unplugged

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Unveiling Hidden Risks in Financial Markets

This chapter explores the often-overlooked vulnerabilities in financial markets during stable periods, critiquing traditional risk management models that rely on historical data. Using the 2008 financial crisis as a backdrop, it advocates for strategies that emphasize resilience and adaptability, proposing a shift towards positive convexity in portfolio management. The discussion highlights the limitations of common risk metrics like Value at Risk (VAR) and emphasizes the need for approaches that balance conservative and aggressive strategies to better navigate market uncertainties.

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