Chapters
Transcript
Episode notes
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19
Introduction
00:00 • 3min
How Did the 2008 Crisis Manifest in the Investment Banking Sector?
02:56 • 5min
The Biggest Learning Experience Is Susceptible to Models
08:17 • 4min
Is There Liquidity in the Market?
11:47 • 4min
Is Liquidity a Driving Factor of Pricing?
15:24 • 5min
How Do You Deal With Less Liquid Assets?
20:48 • 4min
Is Continuous Delta Hedging a Good Idea?
25:14 • 6min
Is There a Connection Between Delta Hedging and Trend Following?
30:51 • 5min
Is There a Trend Following in Option Space?
36:01 • 1min
Is There a Future in Alternative Risk Premium?
37:30 • 2min
How to Communicate Risky Trades
39:41 • 4min
How Does a Conditional Beta Model Work?
43:32 • 5min
The Tail Risk Model Is Very Attractive
48:41 • 4min
Alternative Risk Predia
52:46 • 5min
Is There a Risk That Trend Following Will Not Work?
57:56 • 5min
Is There a Mean Reversal?
01:03:19 • 2min
The Diversification Benefits of Trend Following
01:05:25 • 3min
Is It a Risk Premier or a Trend Following?
01:08:49 • 3min
The Last Question for You, Arthur, Is This Really a Good Investment Strategy?
01:12:07 • 2min