
Resolve Riffs Investment Podcast
Navigate All Market Storms with this Investment Process!
Oct 26, 2023
The podcast explores the intricacies of asset classes and correlations, challenges of traditional investment strategies, potential of alternative investment approaches, importance of understanding risks and returns, role of benchmarking, and the nuances of managing risk exposures in portfolios.
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Quick takeaways
- Diversification across non-correlated assets can create a smoother return experience and reduce risk in investment portfolios.
- Alternative strategies, such as global macro futures, offer benefits like non-correlation and enhanced diversification, but require careful consideration.
Deep dives
The Genesis of the Dynamic Alpha Macro Fund
The Dynamic Alpha Macro Fund (ticker: DYMIX) was launched as a solution to turn a successful hedge fund strategy into a 40-act mutual fund. By marrying a fundamentally managed global macro strategy with long-only US equities, the fund aims to capture the benefits of non-correlation and rebalancing alpha. The strategy focuses on story-based investments that take advantage of price and supply-demand imbalances. With a universe of 45 futures, the strategy seeks to provide diversification and smoother return experiences for investors.