One year ago – where were you? Doing cool zoom backgrounds. Stacking a pile of books to act as your at home standing desk. Home schooling!! Trying to understand what a VIX of 80 means? We were all trying to get a handle on just what the new normal would be, and if our economies […]
Category: Market Commentary
Crazy Commodity Cycles (and cross-continent motorcycles) with Jim Rogers on The Derivative
The king of Commodities has entered The Derivative ring. You know his name, you’ve read his books, you’ve probably utilized his index, and now you’re listening to him in this most recent podcast episode. Jim Rogers is an American investor and financial commentator, and was there at the start of the Quantum Fund and Soros […]
Asset Class Scoreboard: February 2021
Last year it feels like all we talked about was the rough performance of commodities and now we’re reading headline after headline of a 2021 commodity supercycle “driven by stimulus spending and a weaker US dollar” (SP Global). Up 15% for the year already, I think we’ll be talking about commodity performance for a good […]
The VOLvengers: Wayne Himelsein (Iron Man) & Mike Green (Captain America) on The Derivative
Get more information on the funds at Logica Capital Advisers. We’re bringing out the cake & ice cream for this pod because it’s The Derivative’s 1 year anniversary! If you’ve been with us since the beginning – you may fondly remember our inaugural episode The Human Behind The Hedge Fund with Wayne Himelsein. So, […]
Vol – Benn There, Done That with Benn Eifert of QVR Advisors on The Derivative
Why can’t vol managers tell good jokes? Bad timing? Buh dum tsss. All jokes aside, we’re excited to be back talking Volatility on The Derivative with the Professor, the DJ, the Han Solo of Vol trading, the one and only Benn (with two N’s) Eifert. Benn is Founder and CIO of QVR Advisors and joined […]
Gold, Gas, and Global Inflation with Diego Parrilla of Quadriga Asset Managers on The Derivative
2020 was ruled by global macro events – are we looking at the same fate in 2021? Our guest today can talk not only global macro, but also volatility, bond yields, correlation, oil, metals and more. To ring in the new year we’re joined by Diego Parrilla, Managing Partner at Quadriga Asset Managers and Author […]
Asset Class Scoreboard: December 2020
via GIPHY Whew – we made it through 2020. From the Red Wedding in March to somewhat unbelievable rallies across stock indices in the second half of the year, there was something for across 2020. Commodities notably ended the year pretty deep in the red, even with the major upswings in quarters 2, […]
Butler and Buck Back to Bookend 2020 on The Derivative
We’ve already covered the first three months of 2020 with Part I of our 2020 review. We’re now heading into Part II with Jason Buck, CIO at Mutiny Fund and Adam Butler, CIO at ReSolve Asset Management discussing how the fall out of the first three months of 2020 dictated the ending 3/4 of the […]
2020’s Best Strategies, Styles, and Stories with Adam Butler and Jason Buck on The Derivative
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 […]
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 […]