
Long Story Short
As investors, you know that liquidity matters. But how is it measured? How can it be managed and used to deliver returns? In this season of Long Story Short, Robyn Grew, Incoming CEO at Man Group, will delve into the importance of managing liquidity in your portfolio and reveal strategies that you can put into practice.Our guests will include leading investment professionals, financial analysts and strategists, and expert market commentators who will share their insights and experiences with liquidity management. We’ll explore case studies and real-life examples to show exactly why liquidity matters.
Latest episodes

Oct 11, 2022 • 24min
Trend Setters: Pushing the Trend Frontiers with Specialist Markets
How do alternative momentum strategies work and what differentiates them from traditional CTA futures? In this episode, Peter is joined by Giuliana Bordigoni, Director of Specialist Strategies at Man AHL, to discuss what makes an alternative alternatives strategy, the diversification benefits relative to traditional trend strategies and asset classes, and execution is often just as important to success as your signals.

Oct 4, 2022 • 46min
Trend Setters: Crypto, Crowding & Convexity, with Prof. Cam Harvey
Will crypto have a place in a multi-asset trend-following strategy? What’s the academic foundation for why trend-following works when so many other strategies have been proven wrong? And what can investors do to protect their portfolios from the ‘Achilles Heel’ of trend?Campbell Harvey, Professor of Finance at Duke University, joins the podcast to discuss his ground-breaking research into trend-following and his latest books including Strategic Risk Management and DeFi and the Future of Finance.

Sep 21, 2022 • 31min
Trend Setters: The Mechanics of Trend-Following
In this episode we dive into the reasons why trend following strategies work and importantly, when they work. Joining Peter is Otto Van Hemert, Director of Core Strategies at Man AHL, co-author of the award-winning paper Best Strategies for Inflationary Times which highlights trend as one such solution.Trend SettersWhat makes a trend in asset prices? Which environments offer the best returns for quantitative trend-following strategies?Introducing Trend Setters, the new multi-part podcast series from Long Story Short. Hosted by Peter van Dooijeweert, Head of Multi-Asset Solutions at Man Solutions, Trend Setters is demystifying the world of trend-following strategies and why they work in volatile markets.Articles mentioned in this episode:
Best Strategies for Inflationary Times
The Best Strategies for the Worst Crises

Sep 20, 2022 • 27min
Trend Setters: Why You Should Follow the Crowd
In 2022, trend-following indices have posted some of their best returns of the past 20 years. Against a backdrop of both equity and bond market sell-offs, these alternative strategies have thrived. But why?For the second season of Long Story Short, Trend Setters is demystifying the world of trend-following strategies and why they work in volatile markets. Russell Korgaonkar, CIO at Man AHL, joins the podcast to demystify why these strategies often work when others don’t.

Sep 6, 2022 • 52sec
Introducing: Trend Setters, coming Sept 21
What makes a trend in asset prices? Which signals should you be looking for to find momentum in markets? Which environments offer the best returns for quantitative trend-following strategies?For the second season of Long Story Short, host Peter van Dooijeweert, Head of Multi-Asset Solutions at Man Solutions, is demystifying the world of trend following. You will hear about why trend strategies have outperformed other risk assets, the ways investors can look for trends in noisy markets, and how it might fit into your portfolio. Welcome to Trend Setters, a new multi-part series from Man Group, coming September 21.

Jun 14, 2022 • 27min
Investing In The New Regime: What to Do When Your Hedges Don't Work
Given the volatility in both credit and equity markets, portfolio hedging has never been more important. Peter van Dooijeweert, Managing Director at Man Solutions, joins Long Story Short to discuss the different ways investors can manage their tail risk, from put options to risk distribution strategies.

May 19, 2022 • 23min
Investing In The New Regime: Forests, Fortran, and Climate Adaptation in Your Portfolio
Why is Fortran, one of the oldest and least-used programming languages, so crucial to modelling the impact of climate change? How do forest growth, cloud formations and soil quality feed impact portfolio risk assessment? And what do ensemble climate models and professional football teams have in common?Matt Goldklang, Climate Scientist at Man Numeric and recent co-author of the award-winning Climate Investment: Positioning Portfolios for a Warmer World, joins Long Story Short to discuss climate models, adaptation versus mitigation game theory, and how your portfolios can adapt to a more chaotic climate future.

Apr 20, 2022 • 21min
Investing In The New Regime: Welcome to the New and More Volatile Inflation Regime
Just a few months ago, US inflation levels hit the highest levels seen since the 1990s. Now the level is higher than at any point in the past 40 years, eclipsing many of our careers in the investment industry. Such a drastic shift in a short space of time requires professional investors to reshape their portfolios in response to the new landscape, but which assets are best suited to high and rising inflation, and which to an environment where inflation has peaked and begins falling again?Teun Draaisma, portfolio manager at Man Solutions, and his team been developing a robust quantitative investment framework – Fire and Ice – around inflation for the past five years. Recently winning the prestigious Bernstein Fabozzi Jacobs Awards for their co-authored paper The Best Strategies for Inflationary Times, Teun joins Shanta Puchtler to discuss the strategies that work when inflation hits.

Mar 11, 2022 • 19min
Investing In The New Regime: Weathering the Storm in Investment Grade
A dizzyingly expensive bond market, record levels of inflation and hawkish central bank policy shifts. Taken together, investment grade investors could not have asked for a more tumultuous start to the year following one of the worst years on record for total returns. After years of bond purchases at seemingly any price, how can investors navigate this new dynamic?In the debut episode of Long Story Short, portfolio manager Jonathan Golan joins the podcast to discuss the outlook for investment grade fixed income, the search for yield and the key risks investors should watch out for.