Top Traders Unplugged cover image

TTU127: Trend Following L.A. Style ft. Ryan O' Grady, Co-Founder & CEO at ROW Asset Management

Top Traders Unplugged

00:00

How to Manage Mean Aversion in a Portfolio?

In terms of managing the risk in the portfolio, I mean, as you said, it's multi-strad. You have trends, you've got carry type strategies, and I think you mentioned kind of value, short-term strategies. And so, presumably, then at times, everything will line up and you will have higher exposure. Is that just a choice to try and deliver more consistency of performance as opposed to having that really convex return profile? Or is it just the best do you think it's just a better way to run a portfolio over the long term?

Transcript
Play full episode

The AI-powered Podcast Player

Save insights by tapping your headphones, chat with episodes, discover the best highlights - and more!
App store bannerPlay store banner
Get the app