
The Pandemic Portfolio - Risk Parity, Convexity, and Multi-Asset Factors in Extreme Markets (EP.13)
Resolve Riffs Investment Podcast
00:00
Implications of Passive Portfolios and Managing Exposure in Risk
Exploring the concept of passive portfolios and the implications of maintaining exposure to risk without de-risking, including the relationship between volatility and price discovery and the importance of reducing exposure as volatility expands.
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