ALO02: Properly Diversifying a $1.6 Trillion Portfolio ft. Sebastien Page — February 16th, 2022 episode artwork

EPISODE · Feb 16, 2022 · 1H 16M

ALO02: Properly Diversifying a $1.6 Trillion Portfolio ft. Sebastien Page — February 16th, 2022

from TopTradersUnplugged.com · host TopTradersUnplugged.com

Alan Dunne is joined today by Sebastien Page to discuss how price shocks affect correlations, approaches to strategic asset allocation, how to position portfolios for the years ahead, the current outlook for equities their various sectors, investing in a rising interest rate environment, responding to unexpected regime shifts in the markets, defining and achieving utility maximisation, the merits and drawbacks of mean variance analysis, how to properly diversify a portfolio, the durability of treasury bonds, lessons from research on high performance individuals and teams, achieving a state of ‘flow’, and how to simplify complex financial topics. In this episode, we discuss: •Ever-changing market correlations •Strategic asset allocation •Responding to interest rate changes •Achieving utility maximisation •Mean variance analysis •Portfolio diversification •Treasury bonds •High performance teams •Simplifying complexity IT's TRUE 👀 - most CIO's read 50+ books each year - get your copy of the Ultimate Guide to the Best Investment Books ever written here: www.toptradersunplugged.com/Ultimate And you can get a free copy of my latest book "The Many Flavors of Trend Following" here: www.toptradersunplugged.com/book Send your questions to [email protected] Follow Niels & Alan on Twitter: @TopTradersLive & @AlanJDunne And please share this episode with a like-minded friend and leave an honest rating & review on iTunes and Spotify so more people can discover the podcast.

Alan Dunne is joined today by Sebastien Page to discuss how price shocks affect correlations, approaches to strategic asset allocation, how to position portfolios for the years ahead, the current outlook for equities their various sectors, investing in a rising interest rate environment, responding to unexpected regime shifts in the markets, defining and achieving utility maximisation, the merits and drawbacks of mean variance analysis, how to properly diversify a portfolio, the durability of treasury bonds, lessons from research on high performance individuals and teams, achieving a state of ‘flow’, and how to simplify complex financial topics. In this episode, we discuss: •Ever-changing market correlations •Strategic asset allocation •Responding to interest rate changes •Achieving utility maximisation •Mean variance analysis •Portfolio diversification •Treasury bonds •High performance teams •Simplifying complexity IT's TRUE 👀 - most CIO's read 50+ books each year - get your copy of the Ultimate Guide to the Best Investment Books ever written here: www.toptradersunplugged.com/Ultimate And you can get a free copy of my latest book "The Many Flavors of Trend Following" here: www.toptradersunplugged.com/book Send your questions to [email protected] Follow Niels & Alan on Twitter: @TopTradersLive & @AlanJDunne And please share this episode with a like-minded friend and leave an honest rating & review on iTunes and Spotify so more people can discover the podcast.

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ALO02: Properly Diversifying a $1.6 Trillion Portfolio ft. Sebastien Page — February 16th, 2022

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Alan Dunne is joined today by Sebastien Page to discuss how price shocks affect correlations, approaches to strategic asset allocation, how to position portfolios for the years ahead, the current outlook for equities their various sectors, investing...

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