2020 has been a year for the books – be it the fastest every market sell-off or a just as amazing tech rally from the lows. Whether you’re looking at it from a social/emotional/fiscal lens, it probably didn’t pan out the way you imagined based on your New Year’s Resolution. And in today’s podcast, we’re […]
Category: Managed Futures
Cover to Trend Legend Cover with Michael Covel on The Derivative
It’s hard to get too far into the words Trend Following without running into the name Michael Covel. If you’ve ever looked into the strategy type, his name is there. From speeches to his many books, the aptly named Trend Following Radio and his trend following twitter thread, Michael has been digging into the philosophy […]
Now that’s A Liquid Futures Contract
The CME Group launched the first of its kind Water Futures contract on Monday joining the likes of other commodities available for trade with one small difference. Water won’t require any physical delivery or storage – unlike oil or corn, purchasers of a water future contract won’t be greeted by a delivery of millions of […]
Asset Class Scoreboard: November 2020
A historic November rally showed up across all of the asset classes this month. You’d be hard pressed not to have read a story on the killer month that US & World Stocks saw after vaccine news and the final consensus on a U.S. President – and that is reflected in their performance in the […]
Don’t Buy the Narrative (and It’s All Narrative) with Epsilon Theory’s Ben Hunt on The Derivative
Our guest today is somewhat of a modern philosopher, mapping out how the investing world sees the real world, while at the same time questioning his own place in that world and how he can change it for the better. Ben Hunt, Co-Founder of Second Foundation Partners and creator of the Epsilon Theory blog, joins […]
Who Would Want to SELL Options, with Mark Adams of Warrington Asset Management on The Derivative
For every option buyer, there is a seller. The brave souls who are accused of picking up pennies in front of a freight train. But are they dumb? Crazy? Or just better at timing the market than the rest of us? Understanding option strategies which involve collecting premium seems easy, but there’s way more that […]
Event Vol and the Key US Election Event(s)
While it’s long been a practice to trade volatility in single name stocks around an event like earnings, with the ability to see the distinct amount of volatility priced into the earnings move – event vol around macro level events has been a less talked about trade. There’s many reasons for that, chief among them […]
Debunking Trend Following’s Dead Theories with Kathryn Kaminski on The Derivative
Is trend following too big? Can managed futures do it without the bond tailwind they’ve had for 30 years? Does globalization take away diversification? We’re debunking these trend following myths/truths (?) in today’s podcast – and today’s guest is ideal to take us through the ins-and-outs of these trend following theories. We’re joined by Kathryn […]
Vol Curves and Vanna Charm with Cem Karsan on The Derivative
Today’s pod is all about word play playing into alternative investment. How does Jam Croissant relate to Cem Karsan? What about Vanna Charm and options definitions? Or the forever popular “there’s no such thing as a free lunch” evolving to “nothing is ever risk free”? To get together the definitions, explanations, and educated facts on […]
Asset Class Scoreboard: September 2020
Ouch – after months of rallying classes, September was a rough one (almost a callback to our red wedding in March, but a little better). The September sell-off was all we needed to make nearly all the asset classes head right back into the red, and with anticipated volatility surrounding the election, and now with […]