E17. Managed Futures-Why Now! Positioning, Energy, De-Dollarization, and Portfolio Blind Spots copertina

E17. Managed Futures-Why Now! Positioning, Energy, De-Dollarization, and Portfolio Blind Spots

E17. Managed Futures-Why Now! Positioning, Energy, De-Dollarization, and Portfolio Blind Spots

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In this episode, Rodrigo Gordillo, Mike Philbrick, and Adam Butler from ReSolve Asset Management Global explore the timely relevance of managed futures, examining why the current macroeconomic environment may be particularly favorable for these strategies. They discuss recent drawdowns, the uncorrelated nature of trend and carry strategies, and the importance of diversification. The conversation also covers the benefits of strategic overlaying in portfolios, the impact of policy shocks, and the potential for managed futures to add value in various market conditions, including inflationary periods.

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