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Navigating Valuation Biases in Trading
This chapter explores the inside and outside views in trading and valuation, highlighting the importance of information awareness and the risks of biased data. It also examines cognitive biases, Bayesian thinking, and the implications for asset valuation and investment decision-making, drawing on personal experiences in private equity.
This week on the Value Perspective podcast, we’re joined by Harry Crane, Professor of Statistics at Rutgers University. Harry is a master in probability, risk and their real world applications. His book Probability, Intuition and Common Sense covers how the role of intuition and common sense is often diminished in decision making in professional contexts. This episode is co-hosted by returning guest Luca Dellanna. We discuss: the differences between studying probability and statistics; challenges in teaching probability and how to improve it; models with unallocated probability variables; the role and benefits of prediction markets; and the value, or limitations of base rate analysis. Enjoy!
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Important information. This podcast is for investment professionals only.
Marketing material for Financial Profesusionals and Professional Clients only. The material is not intended to provide, and should not be relied on for, accounting, legal or tax advice, or investment recommendations. Reliance should not be placed on any views or information in the material when taking individual investment and/or strategic decisions.
Past Performance is not a guide to future performance and may not be repeated. Diversification cannot ensure profits or protect against loss of principal. The value of investments and the income from them may go down as well as up and investors may not get back the amounts originally invested.
Exchange rate changes may cause the value of investments to fall as well as rise. Investing in emerging markets and securities with limited liquidity can expose investors to greater risk. Private assets investments are only available to Qualified Investors, who are sophisticated enough to understand the risk associated with these investments. This material may contain “forward-looking” information, such as forecasts or projections. Please note that any such information is not a guarantee of any future performance and there is no assurance that any forecast or projection will be realised.
Reliance should not be placed on any views or information in the material when taking individual investment and/or strategic decisions. The views and opinions contained herein are those of the individuals to whom they are attributed and may not necessarily represent views expressed or reflected in other Schroders communications, strategies or funds. Any reference to regions/ countries/ sectors/ stocks/ securities is for illustrative purposes only and not a recommendation to buy or sell any financial instruments or adopt a specific investment strategy.
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