
021 - Dave Aspell - Mt Lucas Management - Keep It Simple!
The Algorithmic Advantage
00:00
Portfolio Allocation and Trading Strategy in Macro Fund Management
Delving into the structure and risk allocation of a macro fund, the chapter discusses the rationale behind equal risk sizing from discretionary trading and a core portfolio, emphasizing the importance of maintaining risk exposure. Exploring the nuances of trading stocks and managed futures, the conversation highlights the need for strategies to reduce volatility and transfer risk effectively, along with insights into the firm's trading approach and portfolio management strategies.
Transcript
Play full episode
Remember Everything You Learn from Podcasts
Save insights instantly, chat with episodes, and build lasting knowledge - all powered by AI.