Category: Managed Futures

14 Jul 2020

Seeking Options Expertise

There was an interesting back and forth between our own Jeff Malec and Sean Brown of YCharts on a recent episode of ‘The Derivative’, talking what the responsibilities of a FinTech software platform are in terms of balancing nice looking GUIs and gamifying investing, and the responsibility to make sure that the users actually know […]

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02 Jul 2020

5 Asia/China Focused Hedge Funds, 1 Podcast!

The Chinese market is a secret well-kept, with stringent rules and difficult entrance rates. But those who’ve kept their heads down, drudging through the weeds now hold the key, and have opened up opportunities to get access to the Chinese market for investors across the globe. As we recently wrapped up our virtual conference: “Capitalizing […]

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01 Jul 2020
Markets, RCM Alternatives, Asset Class

Asset Class Scoreboard: June 2020

In exchange for being one of the only assets up in Q1, would you trade being down in Q2?  That’s the position managed futures finds itself in after a 2nd straight month of being the only red on the board. Elsewhere, it was RISK ON across the board – although at much smaller levels than […]

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29 Jun 2020

Do Hedge Funds Suck?

We got off a call with an investor the other day who mentioned that the past two+ years have been a great microcosm of different full cycle market environments – with: 2018 = SPY -4.56% = a down stock market in 2018, including the volatility explosion in Feb of 2018 and odd sell off with […]

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25 Jun 2020

$TVIX gets Terminated – What^%$# on The Derivative

Similar to how we quickly grabbed some experts to discuss Crude Oil going negative, we grabbed some VIX experts as soon as the news hit this week that Credit Suisse was pulling the plug on one of the biggest VIX tracking exchange traded products. What will this do to VIX futures volume, liquidity, and the […]

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23 Jun 2020

Tiger Woods(ing) your Alts Portfolio

We came across this great post recently on the Breaking the Market Blog comparing Tiger Woods strategy on avoiding errors is just the sort of thing to apply to an investment strategy. Golf is often pretty clear at telegraphing the penalty for misses. Water on one side is more penalizing than the open green to […]

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05 Jun 2020

Navigating Market Volatility on The Derivative

$VIX lovers/followers/haters/enthusiasts – this one’s for you. In this episode, we’re joined by a powerhouse group of volatility experts consisting of Kevin Davitt, Wayne Himelsein, Jason Buck, and Bastian Bolesta & Jeff Malec discussing Navigating Market Volatility. Providing more than just witty banter, you’ll to these guys talk about how crazy volatility was during March/April, […]

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