22min chapter

Resolve Riffs Investment Podcast cover image

Alfonso Peccatiello: Unveiling the Macro Endgame: The Wealth Illusion Paradigm

Resolve Riffs Investment Podcast

CHAPTER

Navigating Global Instability and Inflation: Strategies for Portfolio Resilience

The chapter delves into the importance of considering a global macro framework for asset allocation and stress-testing portfolios for potential scenarios like inflation spikes, especially in the current environment of potential global instability. Strategies such as diversifying with internationally diversified equities, equal weight strategies, commodities, and various bond options are discussed to enhance portfolio resilience and navigate the uncertainties of a potentially stagflationary environment. The chapter also explores the use of futures for bond exposure, commodities, and trend strategies to benefit from inflation, emphasizing the need for thoughtful beta structuring and portfolio stabilizers in the face of increasing macro volatility.

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