
TTU110: The Opportunity of Volatility ft. Alan Sheen of Dalton Street Capital – 1of2
Today on Top Traders Unplugged, I’m speaking with Alan Sheen, Founder and CIO of Dalton Street Capital. Alan has an interesting background in science and engineering, and also spent time in the milita...
25 Sep 201939min

SI54: Why NOT losing money is more important than missing opportunities
In this episode, we discuss Howard Mark’s comments regarding not losing money being more important than missing opportunities, how solid Trend Following performance can often stay on the edge of rando...
22 Sep 20191h 9min

RT27: Why Emotion overrides cognition...dramatically ft. Daniel Crosby – 2of2
On today’s episode, Niels continues his conversation with Dr. Daniel Crosby, Chief Behavior Officer of Brinker Capital, and the host of The Standard Deviation Podcast. Niels and Daniel discuss how emo...
18 Sep 201937min

SI53: Why most successful Hedge Funds employ Systematic strategies
In today’s episode, we discuss if it’s possible to successfully blur the lines between Discretionary & Systematic Trading, why most of the largest Hedge Funds in the world are Systematic, results of t...
16 Sep 20191h 10min

MacroVoices: Niels Kaastrup-Larsen on Algorithmic Trading & Trend Following
The tables have turned! In this episode, Niels Kaastrup-Larsen becomes the first featured guest on Erik Townsend’s newest podcast – MacroVoices Spotlight! In this episode, Niels and Erik discuss Trend...
13 Sep 201959min

RT26: Overcoming behavioural biases ft. Daniel Crosby – 1of2
On today’s episode, Niels Kaastrup-Larsen speaks with Dr. Daniel Crosby, Chief Behavior Officer of Brinker Capital, and the host of The Standard Deviation Podcast. Dr. Crosby came to investment manage...
12 Sep 201931min

SI52: Working with legendary Paul Tudor Jones ft. Peter Borish
In our special Anniversary Edition of the Systematic Investor Podcast, we invite Peter Borish onto the show to discuss the differences between Discretionary and Systematic Investing, Peter’s journey f...
10 Sep 20191h 21min

SI51: Improving Diversification through multiple trading approaches
In this week’s show, we discuss using multiple systems to further enhance diversification, the differences between a portfolio meeting expectations versus benchmarking it against an Index, Trend Follo...
2 Sep 20191h 13min




















