013 - Horizon3 Investment Management (Part II)

013 - Horizon3 Investment Management (Part II)

In this insightful second episode with Horizon3, Sanj and Paul delve into the complexities of systematic trading and the evolving landscape of the financial markets. The discussion kicks off with a critical look at traditional trading dogmas, emphasizing the importance of diversification and the challenges faced in adapting strategies to the dynamic post-Global Financial Crisis environment. The conversation then pivots to a nuanced analysis of current macroeconomic trends, focusing on the implications of central bank policies, the nuances of inflation, and the need to move beyond conventional wisdom in risk management. As the episode progresses, listeners are treated to an in-depth exploration of Horizon3's unique trading model, highlighting the integration of advanced risk controls, pattern recognition, and digital signal processing. This is followed by a compelling segment on the potential impact of quantum computing on financial markets. The speakers share their macroeconomic outlook, predicting a severe recession and a resurgence of inflation, urging investors to be strategic in their approach. The episode concludes with a teaser about Horizon3's upcoming initiatives and technological innovations, inviting listeners to stay updated through their website and LinkedIn. This podcast is a must-listen for anyone interested in understanding the intricacies of trading and investment in today's rapidly shifting economic landscape. Get in touch with Sanj & Paul from Horizon3: w: https://h3im.com/ li: https://www.linkedin.com/in/stayfrosty/ li: https://www.linkedin.com/in/paulnetherwood/

Episoder(52)

051 - Samir Varma - Classify Risk Don't Chase Alpha

051 - Samir Varma - Classify Risk Don't Chase Alpha

What does a quantum physicist & inventor bring to quant trading? He thinks differently and is purposefully anti-alpha - instead focusing on risk management. After years of trying conventional risk mod...

14 Apr 1h 3min

050 – Samir Varma - When Academic Finance Theory Fails

050 – Samir Varma - When Academic Finance Theory Fails

Where Real Edge in Quant Trading Actually Comes FromDo not watch this podcast. This is Part 1 with Samir Varma, and in Part 2 we go into great detail about his quantitative trading. In the Collective,...

6 Apr 1h 7min

049 - David Bush - Build a High-Performance Quant Crypto Portfolio Without Blowing Yourself Up!

049 - David Bush - Build a High-Performance Quant Crypto Portfolio Without Blowing Yourself Up!

Crypto Trader's Edge Course: https://www.algoadvantage.io/academy/crypto-traders-edge/Most crypto traders are still thinking like coin pickers when they should be thinking like portfolio architects. H...

26 Mar 55min

048 - Michael Wallace - Dynamic Position Sizing Like You Haven't Seen Before

048 - Michael Wallace - Dynamic Position Sizing Like You Haven't Seen Before

This interview with Michael Wallace (who was inspired by Larry Williams & Ralph Vince) brings a few things to mind. First is the absolute centrality of the role of position sizing in trading, second i...

9 Mar 1h 7min

047 - Tom Starke - The Basics of Building a Strategy Development Pipeline

047 - Tom Starke - The Basics of Building a Strategy Development Pipeline

Courses, community & more: https://www.algoadvantage.ioThis is part II, part I is Episode 46.I know we all want “quick, actionable take-aways”, but the reality is that foundational principles of strat...

18 Des 20251h 35min

046 - Tom Starke - Institutional Quant Trading Fundamentals

046 - Tom Starke - Institutional Quant Trading Fundamentals

Detailed write up on how institutions trade differently: https://www.algoadvantage.io/podcast/046-tom-starke/Part 2: coming soon!Dr Tom Starke trades significant institutional capital as a quant trade...

11 Des 20251h 45min

045 - Rob Hanna - Trading the VIX in a Diversified Portfolio

045 - Rob Hanna - Trading the VIX in a Diversified Portfolio

Detailed write-up on all of the concepts discussed here: https://www.algoadvantage.io/podcast/045-rob-hannaRob Hanna has been trading since the mid 90's and has slowly progressed from discretionary sw...

3 Des 20251h 5min

044 — Nick Radge: Want Big Fish? You'll Need a Bigger Rod

044 — Nick Radge: Want Big Fish? You'll Need a Bigger Rod

I think Nick Radge’s edge is actually an architecture: robust, simple, momentum-driven systems stitched together into a portfolio that survives, adapts, and compounds. Across nearly four decades, he’s...

28 Okt 20251h 30min

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