The Derivative cover image

Why Systematic? Why CTA? Why Now? A panel event with Mercer, Campbell, EMC Capital, & Resolve

The Derivative

CHAPTER

How CTA's Manage Risk

Risk management is a number one priority of any CTA, properly managing and thinking about risk is why I think CTA's are able to last 10, 20 years or more. We have a very short look back window when determining the volatility for each market in our program. How do you protect against a historically volatile market being very non-volatile in those two weeks? And on our trading platform, we have a risk page that'll show the volatility and how it's changing in each market from day to day.

00:00
Transcript
Play full episode

Remember Everything You Learn from Podcasts

Save insights instantly, chat with episodes, and build lasting knowledge - all powered by AI.
App store bannerPlay store banner