EPISODE · Aug 24, 2021 · 32 MIN
Episode 114: An Analysis Of Anti-Beta Fund BTAL
from Risk Parity Radio · host Frank Vasquez
In this episode we analyze the AGFiQ US Market Neutral Anti-Beta Fund ETF, ticker symbol BTAL, using David Stein's Ten Questions to Master Investing, which are:1. What is it?2. Is it an investment, a speculation, or a gamble?3. What is the upside?4. What is the downside?5. Who is on the other side of the trade?6. What is the investment vehicle?7. What does it take to be successful?8. Who is getting a cut?9. How does it impact your portfolio?10. Should you invest?This fund analysis was suggested/requested by listener Javen S.Additional Links:BTAL Fact Sheet: AGFiQ U.S. Market Neutral Anti-Beta Fund - - Fund ProfileBTAL Prospectus: AGFiQ Annual ProspectusBTAL Correlation Matrix: Asset Correlations BTAL (portfoliovisualizer.com)Backtest Golden Butterfly Portfolio Example: Backtest GB Portfolios (portfoliovisualizer.com)Backtest Golden Ratio Portfolio Example: Backtest GR Portfolios (portfoliovisualizer.com)Backtest Leveraged Portfolios Examples: tinyurl.com/8t62zjhkSupport the show
What this episode covers
In this episode we analyze the AGFiQ US Market Neutral Anti-Beta Fund ETF, ticker symbol BTAL, using David Stein's Ten Questions to Master Investing, which are: 1. What is it? 2. Is it an investment, a speculation, or a gamble? 3. What is the upside? 4. What is the downside? 5. Who is on the other side of the trade? 6. What is the investment vehicle? 7. What does it take to be successful? 8. Who is getting a cut? 9. How does it impa...
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Episode 114: An Analysis Of Anti-Beta Fund BTAL
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