
SI316: Solving the "How Much" Trend Following Question ft. Nick Baltas
Today we tackle the most important questions arising from the evolving landscape of systematic investing, focusing on the changing dynamics of asset allocation in the current market environment. Nick ...
5 Okt 20241h 7min

ALO26: Managing a C$600 Billion State Pension Fund ft. Amy Flikerski
Amy Flikerski, Head of External Portfolio Management at CPP Investments - the C$600bn Canadian state pension fund - joins Alan Dunne in this episode to discuss allocating capital to emerging and estab...
2 Okt 20241h 3min

SI315: Preparing for a Pivotal Time in Global Markets ft. Cem Karsan
In this week’s episode, Cem Karsan joins Alan Dunne to discuss the interplay between market flows and global macro developments as we enter a pivotal time of year for markets. They explore the potenti...
28 Sep 20241h 4min

GM71: The Carry Risk Lurking in Your Portfolio ft. Kevin Coldiron
In this episode, I’m joined by Alan Dunne and Kevin Coldiron, a co-author of "The Rise of Carry", for an in-depth discussion on the recent unwinding of the Yen carry trade and a broader exploration of...
25 Sep 20241h 5min

SI314: Algo Anxiety... Can AI Resolve This? ft. Mark Rzepczynski
Together with Mark Rzepczynski we dive deep into the outlook for trend following and discuss what may drive trends in the coming years. We analyze the role that the Fed plays in the rise of carry trad...
21 Sep 20241h 10min

GM70: The State of the Commodity Super Cycle ft. Adam Rozencwajg
This week you are in for a real treat, as Adam Rozencwajg rejoins Cem Karsan and me for a deep dive into the latest developments in the Commodity markets. It's been 15 months since Adam last appeared ...
18 Sep 20241h 19min

SI313: The Paradox of High-Volatility Alternatives ft. Alan Dunne
In this episode, Alan Dunne and I explore Mario Draghi's latest vision for Europe and discuss an insightful interview with Kenneth Rogoff, titled "We Will See More Spikes in Inflation," which covers k...
14 Sep 20241h 5min

IL30: How To Evaluate True Macro Risk? ft. Philipp Carlsson-Szlezak
Our guest on this episode is Philipp Carlsson-Szlezak, the Global Chief Economist at BCG and author of a new book: Shocks, Crises and False Alarms: How to Assess True Macroeconomic Risk. He explains w...
11 Sep 202458min






















