Episode 146: The Antifragile Investor (Part 1)

Episode 146: The Antifragile Investor (Part 1)

Markets can go sideways for ten or fifteen years. The CAPE ratio sits at 42. Global debt is stretched, and retail investors are piling into property, Bitcoin, and leveraged ETFs. So what happens next, and how do you position for it?


In this special two-part episode, Steve Moriarty and Jacob Senior lay out an investment philosophy built to work through the entire market cycle, not just the good years. Drawing on Nassim Taleb's Incerto, the Kelly Criterion, and the risk-first thinking of investors like Ed Thorpe, Steve explains what separates fragile portfolios from robust ones, and robust ones from truly antifragile ones. You'll hear why the "time the market versus time in the market" debate is a false choice, the two scenarios Steve thinks are most likely from here (a GFC-style crash, or a Japan-style deleveraging that grinds asset prices lower over ten to twenty years), and how Taleb's three categories, coffee cups, weights, and everything in between, apply to the assets sitting in your portfolio right now.


Part 2 will cover how to actually build the portfolio.

If you want to think differently about your money, learn more about our approach at totalmoneymanagement.com.au, or take our free investor personality assessment at totalmoneymanagement.com.au/Enneagram-types to find out what kind of investor you are.

This podcast is for informational purposes only and does not constitute financial advice. Total Money Management | AFSL 568642.

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Episoder(165)

Episode 150: Sanctions, Oil and Three Years On

Episode 150: Sanctions, Oil and Three Years On

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30 Aug 47min

Ep 149: The World Order Is Breaking, and Why Australian Property Isn't Coming Back

Ep 149: The World Order Is Breaking, and Why Australian Property Isn't Coming Back

This week Steve, Jacob and Tom cover the shifting global order, why America is pulling back from being the world's policeman, and what that means for trade, tariffs and geopolitics. They also break do...

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Episode 148: The Anti-Fragile Investor Part 2

Episode 148: The Anti-Fragile Investor Part 2

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Episode 147: Oil Wars, Crypto Chaos and a $20 Billion Leverage Lesson

Episode 147: Oil Wars, Crypto Chaos and a $20 Billion Leverage Lesson

Oil is swinging wildly as tensions in the Strait of Hormuz escalate and Trump pushes for a deal. A $116 million crypto hack just hit cold storage wallets across 5,200 addresses. And a 25 year old "gen...

9 Aug 41min

Episode 145: The Property Game Is Over

Episode 145: The Property Game Is Over

Oil just jumped 20% in a fortnight, the US market is priced for perfection, and Australian property looks like it has finally rolled over. Red flags are everywhere.Steve, Tom and Jacob run through the...

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Episide 144: Everybody's Knackered: Oil, Chips and Chokepoints

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Steve, Tom and Jacob are back (with working microphones this time) to unpack a week where the cracks got harder to ignore.The Iran ceasefire has collapsed, tanker traffic through the Strait of Hormuz ...

19 Jul 44min

Episode 143: A TMM Monologue

Episode 143: A TMM Monologue

Episode 143: A TMM MonologueThe ceasefire didn't hold, and neither did the calm. This week Steve flies solo (audio only) with a look at what the renewed Iran-US conflict means for oil, helium and fert...

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