SI372: QIS Unboxed: Rules, Wrappers, and Reality ft. Nick Baltas

SI372: QIS Unboxed: Rules, Wrappers, and Reality ft. Nick Baltas

As equity markets grind higher and trend strategies navigate sharp reversals, Moritz Siebert welcomes Nick Baltas of Goldman Sachs for a conversation that moves beyond performance to examine structure. Together they unpack the machinery of the $1.3 trillion QIS industry - from index design and client behavior to the subtle forces shaping capacity and crowding. They discuss how trading speed has become a key axis of dispersion, why volatility remains the hidden cost in systematic portfolios, and what resilience in markets might really be masking. This is not just about strategy. It’s about how products scale, and how ideas hold.

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

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Follow Niels on Twitter, LinkedIn, YouTube or via the TTU website.

IT’s TRUE ? – most CIO’s read 50+ books each year – get your FREE copy of the Ultimate Guide to the Best Investment Books ever written here.

And you can get a free copy of my latest book “Ten Reasons to Add Trend Following to Your Portfoliohere.

Learn more about the Trend Barometer here.

Send your questions to info@toptradersunplugged.com

And please share this episode with a like-minded friend and leave an honest Rating & Review on iTunes or Spotify so more people can discover the podcast.

Follow Nick on Twitter.

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Episode TimeStamps:

00:23 - Moritz opens the show and introduces Nick

01:16 - Nick’s quick life update and setting the tone

02:45 - Market resilience vs. fragility in 2025

04:18 - Performance rundown: CTAs, trend, equities, bonds

06:10 - October reversals: metals and livestock giveback

07:32 - What’s working: equities, gold, copper; sugar shorts

08:58 - Trend speed, April V-shape, and dispersion

10:40 - Position exits, re-entries, and neutral zones

11:55 - How QIS differs and why it’s opaque from the outside

14:40 - How big is QIS? Asset class split and caveats

18:05 - Who uses QIS: from asset owners to hedge

Jaksot(900)

GM76: Are We Being Deceived by Economic Data? ft. Paul Donovan

GM76: Are We Being Deceived by Economic Data? ft. Paul Donovan

Alan Dunne welcomes Paul Donovan, Chief Economist of UBS Global Wealth Management, to this episode for a thought-provoking discussion on the global economic outlook. Together, they explore the structu...

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SI325: Why Adaptive Strategies Matter Now More Than Ever ft. Graham Robertson

SI325: Why Adaptive Strategies Matter Now More Than Ever ft. Graham Robertson

Today, together with Graham Robertson of MAN AHL, we delve into the intriguing dynamics of trend following and its relationship with current market conditions, particularly influenced by central bank ...

7 Joulu 20241h 2min

IL33: The Soul of Wealth: Behavioral Secrets to a Purposeful Life ft. Daniel Crosby

IL33: The Soul of Wealth: Behavioral Secrets to a Purposeful Life ft. Daniel Crosby

Our guest on this episode is Dr. Daniel Crosby, New York Times bestselling author and Chief Behavioral Officer at Orion Advisor Solutions. Daniel joins us to discuss his new book - The Soul of Wealth:...

4 Joulu 202455min

SI324: Embracing Uncertainty using Adaptive Models ft. Richard Brennan

SI324: Embracing Uncertainty using Adaptive Models ft. Richard Brennan

Today, we dive deep into the complex dynamics of global markets and the often overlooked risks that can accumulate during periods of apparent stability. Together with Richard Brennan, we discuss the r...

30 Marras 20241h 9min

GM75: Macro Mastery: The Hedgeye Approach ft. Keith McCullough

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Keith McCullough, Founder and CEO of Hedgeye Risk Management, joins Alan Dunne in this episode for an in-depth look into Keith’s distinctive approach to global macro analysis and tactical trading. The...

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SI323: From Politics to Profits: How Regime Changes Affect Your Portfolio ft. Cem Karsan

SI323: From Politics to Profits: How Regime Changes Affect Your Portfolio ft. Cem Karsan

Together with Cem Karsan we explore the current investment landscape, with a particular emphasis on the volatility and dispersion of market correlations as we approach the end of the year. We discuss ...

23 Marras 20241h 13min

OI11: Avoiding the Herd: A Different Path to Alpha ft. Jerome Callut

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In today’s episode Moritz Seibert is joined by Jerome Callut, one of the founders of DCM Systematic, a quantitative hedge fund based in Geneva, Switzerland. DCM Systematic aims to produce returns that...

20 Marras 202458min

SI322: Market Narratives and the Unpredictable Alpha ft. Mark Rzepczynski

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In this episode, Mark Rzepczynski joins Alan Dunne to explore narratives, rationality, and behavioral uncertainty, particularly in the context of trend following. They discuss recent market trends in ...

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