Macro Hive Conversations With Bilal Hafeez

David Dredge On Defining Risk, Profiting from Extreme Moves, and Convexity

Sep 17, 2021
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1
Introduction
00:00 • 2min
2
Is It Inevitable You're Going to Finance?
02:19 • 2min
3
Risk and Emerging Markets - I'm Not Making It Up
04:26 • 5min
4
What's the Value at Risk?
09:33 • 3min
5
How Do You Find Risk?
12:19 • 2min
6
I Like Your Idea of X Versu F of X
14:32 • 3min
7
Put Selling Strategies Make More Money Than Depositing Money
17:56 • 2min
8
Buying Puts and Taking on Non Recours Leverage
20:14 • 2min
9
The Feduciary, Compounding
22:25 • 2min
10
Compounding
24:35 • 3min
11
The 60-Four Portfolio Model
27:25 • 5min
12
Is the Long Val Strategy a Better Way to Limit Your Downside
32:50 • 3min
13
The Challenge for Goald Keeping Is Very Different to Investing
35:56 • 3min
14
Creating Convexity to the Upside
38:40 • 2min
15
Investing in Long Volatility, Convexity Strategies
40:47 • 3min
16
Fixed Income
43:52 • 5min
17
The World Is Selling Vall
48:36 • 4min
18
What Are Some of Your Reflections of the Financial System?
52:20 • 3min
19
Is Your Portfolio Fragile, Too Much Debt?
55:10 • 2min
20
The Key Pockets of Correlation Risk
56:59 • 3min
21
The Best Investment Advice I've Ever Received
59:36 • 2min
22
How Do You Manage Your Information and Research?
01:02:04 • 4min
23
The Most Important Book for Risk Management
01:06:05 • 2min
24
How Nature Works Is a Good Book, I'm Going to Read That Book
01:07:58 • 3min