26min chapter

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#43 - David Dredge: Risk Management

Insightful Investor

CHAPTER

Navigating Convexity in Investment Risk Management

This chapter explores the concept of convexity in investment strategies, focusing on its role in managing risk and optimizing returns. The speakers critique traditional risk measures and emphasize the importance of owning negatively correlated protection to safeguard against adverse market conditions. Through analogies and insights from the insurance market, they illustrate the complexities of risk management and the need for disciplined and patient investment approaches.

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