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How to Reconstruct Your Emotional Landscape
David Einhorn: It's no good observing an investor and saying, I should be the same or I should do the same. He says we don't really know that perspective of somebody who has a very concentrated position in XYZ portfolio. The answer for all of us is to cultivate a kind of a balanced garden, he says.
William chats with renowned hedge fund manager Guy Spier. Since launching the Aquamarine Fund in 1997, Guy has beaten the S&P 500 by 200 percentage points & the MSCI World index by 364 percentage points. He’s also the author of “The Education of a Value Investor.” In this conversation, Guy speaks candidly about the challenges he’s facing, including his fear that Russia’s war in Ukraine could escalate, creating a systemic risk for investors. He explains how he’s positioning his portfolio to survive & prosper in these perilous times, & he shares practical advice on how to maintain equanimity amid all this uncertainty.
IN THIS EPISODE YOU’LL LEARN:
00:00 - Intro
03:56 - How living in a calm & predictable environment helps Guy Spier to invest better.
12:04 - How he resisted the temptation to buy overvalued tech stocks during the recent bubble.
26:11 - Why we must beware of the psychological effects of rapidly rising or falling stock prices.
30:04 - Why Guy refuses to invest in any business that can’t fund all of its growth internally.
44:18 - How going to Berkshire Hathaway’s annual meeting helps to reinforce rational behavior.
53:57 - What Warren Buffett told Guy Spier & Mohnish Pabrai about the perils of debt.
1:13:04 - Why Guy regards the war in Ukraine as a potentially systemic threat to investors.
1:11:56 - Where he’s investing in order to survive & prosper in these times of heightened risk and why he’s invested heavily in China, despite the political & economic dangers.
1:13:55 - Why he’s avoiding weaker countries, including Indonesia & the Philippines.
1:15:01 - How he wrestles with the tricky question of whether to trim or hold his winners.
1:18:17 - Why he’ll never short another stock.
1:19:31 - How he constructs a portfolio that helps him to maintain his emotional equilibrium.
1:43:35 - Why he diverged from Mohnish on the risks & rewards of investing in Turkey.
1:59:08 - What Guy & Mohnish have learned from the stunning success of their friend Li Lu.
Disclaimer: Slight discrepancies in the timestamps may occur due to podcast platform differences.
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