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 […]
Category: Markets
Noodling on Ensembles, Trend, & Convexity with Newfound’s Corey Hoffstein on The Derivative
Our guest today is the Co-founder & CEO of Newfound Research, host of the popular podcast Flirting with Models, and FinTwit “influencer” – Corey Hoffstein. In this episode, we’re talking with Corey about the impact of “data”, the juvenile meaning behind Flirting with Models, 1000s of flavors of trend, hitting the gym, the founding of […]
Allocating to Alts with RPMs Alexander Mende on The Derivative
We’re flipping the script of our usual hedge fund manager and drilling down on the allocation side. Our guest is Alexander Mende, Senior Investment Analyst and Head of Investment Research at RPM Risk and Portfolio Management. In this episode, we’re covering a lot of ground with Alexander including herd immunity in Stockholm, an allocator’s due […]
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, […]
Asset Class Scoreboard: May 2020
Commodities were the story of May — doing a full 180, reversing from double-digit loses to posting double-digit returns on the back of Crude Oil rallying from its dip into negative territory. But both US Stocks and World Stocks continuing their bounce off the lows was a close second billing – with US Stocks back […]
Black Swans, Gray Rhinos, and Tigers..Oh My with Michele Wucker on The Derivative
The financial world seems to have a fascination with zoomorphism – the attribution of animal names, emotions, or intentions to non- animal occurrences like market shocks. Black Swans are the famous one, but there’s also been White Moose and Gray Rhino added to the lexicon. And in this episode of The Derivative, we’re focusing on […]
PFGNextBest: More Money Released
While most of us in the futures industry would like to forget the Peregrine Financial Group (PFG) story, we believe it pays to remember past mistakes so they don’t happen again in the future. As a reminder, the PFG story was that of one Russel Wassendorf Sr. and his becoming known as the “Madoff of […]
Tackling Trading Technologies and (lower case t) technology with Guy Scott of TT on The Derivative
Futures traders take clicking a price to generate an order on their PCs for granted these days, much less the instant delivery of every tick, order book data, and trade fills. But how does it all work? And how did it used to all work?? Lucky for you, we’ve got one of the experts from […]
Asset Class Scoreboard: April 2020
With slight dips from the mid-month asset class scoreboard, April ended out in the green for every asset class across the board except for commodities. With word from abroad of economies reopening & the U.S. rolling out a slow open across the country, assets classes have bounced back considerably from the month before. Managed futures […]
3 REALISTIC WAYS TO PLAY A BOUNCE IN OIL
When #crudeoil and $USO are trending on Twitter – you know it’s something more than just some 5% move or so; AND it’s about the exact same time we’re getting calls from people asking the best way to invest in crude oil and the best way to profit from crude oil eventually rebounding. Chances are, […]