ALO35: Why Macro Investing Is Becoming More Systematic ft. George Patterson

ALO35: Why Macro Investing Is Becoming More Systematic ft. George Patterson

How do quantitative investors adapt when markets, technology and macro regimes are constantly changing? In this conversation, Alan Dunne sits down with George Patterson, CIO of PGIM Quant Solutions, to explore the evolution of systematic investing from the 1990s to today’s AI driven landscape. They discuss regime detection, inflation risk, portfolio construction, machine learning, private markets, volatility overlays and the growing role of language models in investment research. George also shares insights from decades in quant investing, including lessons from Covid, the importance of model discipline and why communication skills matter as much as technical expertise.

-----

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

-----


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 Alan on Twitter.

Follow George on LinkedIn.

Episode TimeStamps:

00:00 - Introduction to George Patterson and his journey from physics to quantitative investing

03:12 - Why multidisciplinary teams matter in modern quant investing

04:13 - Inside PGIM Quant Solutions and the evolution of multi asset investing

06:03 - How markets and macro investing have changed since the 1990s

09:12 - The future of the 60/40 portfolio and institutional portfolio construction

12:11 - Private markets, liquidity challenges and institutional investor concerns

13:25 - Inflation, commodities and building modern inflation hedges

19:33 - Detecting macro regimes using quantitative models

23:26 - The hardest part of systematic investing: trusting the process

27:00 - Covid, model failures and managing regime shifts in real time

30:07 - Portfolio protection, options strategies and volatility overlays

32:01 - How AI and large language models are transforming quantitative research

40:02 - Fiscal risks, inflation concerns and the changing rate environment

44:26 - Simplicity versus complexity in quantitative model design

48:05 - Why markets evolve faster today and how models must adapt

51:08 - Retail investors, meme stocks and market distortions

53:33 - Emerging markets and where long term opportunities may exist

55:08 - The future of quant investing and the limits of AI hype

57:10 - George Patterson’s career advice for aspiring quants

Copyright © 2025 – CMC AG – All Rights Reserved

----

PLUS: Whenever you're ready... here are 3 ways I can help you in your investment Journey:

1. eBooks that cover key topics that you need to know about

In my eBooks, I put together some key discoveries and things I have learnt during the more than 3 decades I have worked in the Trend Following industry, which I hope you will find useful. Click Here

2. Daily Trend Barometer and Market Score

One of the things I’m really proud of, is the fact that I have managed to published the Trend Barometer and Market Score each day for more than a decade...as these tools are really good at describing the environment for trend following managers as well as giving insights into the general positioning of a trend following strategy! Click Here

3. Other Resources that can help you

And if you are hungry for more useful resources from the trend following world...check out some precious resources that I have found over the years to be really valuable. Click Here

Privacy Policy

Disclaimer

Det här avsnittet är hämtat från ett öppet RSS-flöde och publiceras inte av Podme. Det kan innehålla reklam.

Avsnitt(966)

IL53: How Bonds Quietly Built the Modern World ft. Robin Wigglesworth

IL53: How Bonds Quietly Built the Modern World ft. Robin Wigglesworth

Today we talk with the editor of the Financial Times’ Alphaville blog, Robin Wigglesworth. Robin is the author of A Fabulous Debt - the Epic Story of How Bonds Built the Modern World. He tells the sto...

16 Sep 1h 3min

SI417: What Happens When AI Starts Trading the Markets ft. Rob Carver

SI417: What Happens When AI Starts Trading the Markets ft. Rob Carver

Niels Kaastrup-Larsen and Rob Carver discuss a market that feels unusually calm despite growing pressure beneath the surface. They look at rising concerns around government debt and bond yields, recen...

12 Sep 1h 8min

GM107: What If AI Actually Pushes Interest Rates Higher? ft. Matt Klein

GM107: What If AI Actually Pushes Interest Rates Higher? ft. Matt Klein

Alan Dunne is joined by Matt Klein to discuss whether the excitement around AI is getting ahead of the economic reality. Matt explains why the parallels with the 1990s productivity boom may be mislead...

9 Sep 1h 2min

SI416: 137 Years of Trend: What the Evidence Really Shows ft. Yoav Git

SI416: 137 Years of Trend: What the Evidence Really Shows ft. Yoav Git

Niels Kaastrup-Larsen and Yoav Git examine why trend following continues to endure despite decades of changing markets and persistent skepticism. They revisit AQR’s 137-year study of trend following, ...

5 Sep 1h 14min

GM106: What Happens When the Debt Finally Matters ft. Marvin Barth

GM106: What Happens When the Debt Finally Matters ft. Marvin Barth

Marvin Barth joins Niels Kaastrup-Larsen and Cem Karsan for a wide-ranging debate about the Fed, inflation and the growing pressures on the US economy. Barth argues that central bankers have become to...

2 Sep 1h 24min

SI415: Maybe This Is Just What Normal Markets Look Like ft. Alan Dunne

SI415: Maybe This Is Just What Normal Markets Look Like ft. Alan Dunne

Niels Kaastrup-Larsen and Alan Dunne examine how a changing macro regime is reshaping markets and the role of trend following. They discuss unusual U.S. intervention in the yen, mounting sensitivity a...

29 Aug 1h 6min

IL52: Why Staying Calm Is the Ultimate Investing Edge ft. David Booth

IL52: Why Staying Calm Is the Ultimate Investing Edge ft. David Booth

In today’s episode we talk with a pioneer of modern asset management, Dimensional Fund Advisors founder David Booth. David founded Dimensional in 1981 and it has since grown to over $1 trillion in ass...

26 Aug 47min

SI414: The Hidden Risks Beneath the Treasury Market ft. Mark Rzepczynski

SI414: The Hidden Risks Beneath the Treasury Market ft. Mark Rzepczynski

Niels Kaastrup-Larsen and Mark Rzepczynski examine the warning signs emerging beneath seemingly calm markets, from extreme single-stock moves and commodity shortages to growing strains in the U.S. Tre...

22 Aug 1h 14min

Populärt inom Business & ekonomi

framgangspodden
varvet
rss-jossan-nina
24fragor
rss-borsens-finest
svd-tech-brief
avanzapodden
uppgang-och-fall
badfluence
rss-inga-dumma-fragor-om-pengar
bathina-en-podcast
rss-dagen-med-di
rss-kort-lang-analyspodden-fran-di
tabberaset
lastbilspodden
fill-or-kill
rikatillsammans-om-privatekonomi-rikedom-i-livet
market-makers
kapitalet-en-podd-om-ekonomi
affarsvarlden