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SI286: Profiting from Different Investment Regimes? ft. Rob Carver

Top Traders Unplugged

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Analyzing Trends in Financial Environment and Investment Markets

The chapter explores historical data on tightening and loosening periods in the financial environment since 1947, discussing central bank policies post-GFC and the shift from tightening to loosening bias. It also explains the concepts of contango and backwardation in investment markets, highlighting their impact on asset returns and the effectiveness of carry and trend strategies.

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