SI377: What's New in SG Indices in 2026? + The Regime-Adaptive Portfolio ft. Alan Dunne

SI377: What's New in SG Indices in 2026? + The Regime-Adaptive Portfolio ft. Alan Dunne

Niels and Alan explore how a fragile macro regime reshapes systematic investing, from a politicised Fed succession to widening cracks in a debt-laden, equity-dependent economy. A shifting bond landscape, rising capital demands from AI and renewed tariff risks challenge the old 60/40 orthodoxy. Listener questions on US policy shocks and the Yen carry trade open a deeper look at when trend helps and when it hurts. The episode culminates in a world exclusive of SocGen's 2026 index changes and the first public reveal of Alan’s new paper: The Regime-Adaptive Portfolio, for genuinely resilient, opportunity-aware global wealth compounding intelligently, prudently over the decade ahead.

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50 YEARS OF TREND FOLLOWING BOOK AND BEHIND-THE-SCENES VIDEO FOR ACCREDITED INVESTORS - CLICK HERE

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Episode TimeStamps:

00:00 - Voiceover and introduction to the Systematic Investor Series

00:23 - Niels and Alan open, what is on their radar this week

01:27 - Fed succession as a political risk factor and betting markets

03:33 - Crypto moves, Vanguard’s platform shift and MicroStrategy index pressure

05:53 - Listener questions: can constant US policy shocks break trend?

06:33 - Trouble for trend or just another regime to endure and adapt to

08:55 - Short-term CTAs, Liberation Day and when speed becomes a handicap

11:11 - How CTAs are positioned for a yen carry unwind and JGB nuances

12:16 - November trend update, five straight positive months and short-term pain

13:35 - World exclusive: new SocGen CTA and...

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SI202: Trend Following in a Binary World ft. Mark Rzepczynski

SI202: Trend Following in a Binary World ft. Mark Rzepczynski

Mark Rzepczynsky joins us today for a weekly talk on Trend Following, where we discuss how we are beginning to see stagflation and recession around the world, how to manage systemic risk as a trend fo...

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IL04: Inflation & The Great Demographic Reversal ft. Manoj Pradhan

IL04: Inflation & The Great Demographic Reversal ft. Manoj Pradhan

Manoj Pradhan, Author and Founder of Talking Heads Macroeconomics, joins us in today’s episode to discuss the structural forces that will drive markets in the future, based on his book, “The Great Dem...

20 Heinä 202259min

SI201: Trend Followers Positioned for Recession ft. Richard Brennan

SI201: Trend Followers Positioned for Recession ft. Richard Brennan

Today, Richard Brennan tackle lots of great questions from listeners as to why Trend Following works, why trends occur in markets and why it is best to exploit them using a systematic approach, the id...

16 Heinä 20221h 23min

IL03: Finding Optimism in Times of Crises ft. Larry Siegel

IL03: Finding Optimism in Times of Crises ft. Larry Siegel

Today, Larry Siegel, Author and Director of Research at CFA Research Foundation, joins us to discuss his book, “Fewer, Richer, Greener: Prospects for Humanity in an Age of Abundance” and how demograph...

13 Heinä 20221h 3min

SI200: Stacking Returns into a Tightning Cycle ft. Alan Dunne

SI200: Stacking Returns into a Tightning Cycle ft. Alan Dunne

Today, Alan Dunne and I discuss the use of return stacking in asset management when building a diversified portfolio and the risk implications, adding CPPI on top of Trend Following and using options ...

10 Heinä 20221h 7min

IL02: Cold War & US Relations with China ft. James A. Fok

IL02: Cold War & US Relations with China ft. James A. Fok

James A. Fok, Financial Markets Professional and author of the book, “Financial Cold War”, joins us today for a discussion on how the Great Leap Forward has had an impact on China as a society and why...

6 Heinä 20221h 4min

SI199: Achieving Highest CAGR through Optimal Leverage ft. Rob Carver

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Rob Carver joins us to discuss the eventful month of June and take questions from listeners regarding moving average crossover systems including what the best exit rules are for these systems, and why...

3 Heinä 20221h 19min

IL01: Turning Water Into Wine with Diversification ft. Antti Ilmanen

IL01: Turning Water Into Wine with Diversification ft. Antti Ilmanen

In today’s episode, Antti Ilmanen, author and Global co-head of the Portfolio Solutions Group at AQR Capital Management, joins us to discuss key learnings from his new book, “Investing Amid Low Expect...

29 Kesä 20221h 6min

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