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Value investing is highlighted as a fundamental way of thinking about finance, with a focus on promoting Graham and Dodd's original investing principles. The podcast aims to improve investing through education, research, and practitioner dialogue. Various world-class investors share their insights on the industry, investment process development, and changes in the field over time.
Lessons from Al Rappaport's book emphasize key principles for understanding economic value, value creation, and strategic analysis. It stresses the importance of focusing on cash flows over accounting numbers, aligning valuation with competitive strategy analysis, and recognizing stock prices' reflection of future expectations for making informed investment decisions.
The discussion delves into the Ash experiment, revealing how social pressure can sway individuals' decisions and alter perceptions of situations. Understanding cognitive biases and the impact of crowds on individual decision-making processes is crucial. The podcast challenges conventional wisdom by exploring the role of experts, expertise, and intuition in navigating complex financial markets.
The podcast delves into the concept of margin of safety in decision-making under uncertainty, drawing on the ideas of Frank Knight and Ben Graham. It explains the distinction between risk, where the underlying distribution is known, and uncertainty, where it is not. Emphasizing the importance of defining edge and bet size in investing decisions, it advocates for a practical approach to managing dynamic systems by choosing conservative probability distributions.
The podcast discusses the utility of techniques like checklists and probabilities in enhancing decision processes in investing. It mentions the resistance analysts and portfolio managers face towards checklists, highlighting the need for consistency and precision in decision-making. Additionally, it explores using probabilities over words when assessing outcomes, suggesting a more structured and mindful approach to investment decision-making.
Today’s conversation is with one of the finest intellectual investors and academic at heart, Michael Mauboussin. Michael is the Director of Research at BlueMountain Capital Management in New York and was formerly the Head of Global Financial Strategies at Credit Suisse and Chief Investment Strategist at Legg Mason Capital Management.
While rising to the top in his corporate career, Michael authored three books, including my favorite, More Than You Know: Finding Financial Wisdom in Unconventional Places, which was named one of the best business books by Businessweek and which features prominently in today’s show. Michael has been an adjunct professor of finance at Columbia Business School since 1993 and is on the faculty of the Heilbrunn Center for Graham and Dodd Investing. He is also Chairman of the Board of Trustees of the Santa Fe Institute, a leading center for multi-disciplinary research in complex systems theory.
On this episode, Michael and I talk about the early epiphany he had that set him on the path to Chief U.S. Investment Strategist, the importance of teaching value investing alongside psychology, the main contributors to investment bias, the importance of cognitive diversity, the top three techniques you can use to mitigate against bias in your investment processes, and so much more!
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