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Day 12 - Putting 11 days of Wisdom to work through a Multi-Asset Momentum Case Study

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Manage episode 233871462 series 2508179
Kandungan disediakan oleh ReSolve Asset Management. Semua kandungan podcast termasuk episod, grafik dan perihalan podcast dimuat naik dan disediakan terus oleh ReSolve Asset Management atau rakan kongsi platform podcast mereka. Jika anda percaya seseorang menggunakan karya berhak cipta anda tanpa kebenaran anda, anda boleh mengikuti proses yang digariskan di sini https://ms.player.fm/legal.

The team has spent the last 11 episodes discussing the importance of asset allocation; the role of systematic “factor” tilts like momentum, value and trend; and how portfolio optimization can act as a force multiplier on long-term performance.

This episode comes full circle by integrating all of the concepts described thus far: Asset Allocation, Risk Balance, Ensemble Methods, Portfolio Optimization and Factor investing, using multi-asset momentum as a case study for this integration.

The team also discusses the importance of process diversification in terms of how to select an optimal multi-asset investment universe; diverse measures of momentum; different methods of portfolio optimization; and holding period diversification.

A fitting conclusion to the 12 Days of Wisdom series, this is one that listeners will not want to miss!

Whitepaper: http://www.investresolve.com/adaptive-asset-allocation/

Articles: https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-1-universe-selection/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-2-the-many-faces-of-price-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-3-risk-adjusted-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-4-momentum-weighting/

https://investresolve.com/blog/same-same-but-different/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-2-the-many-faces-of-price-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-3-risk-adjusted-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-4-momentum-weighting/

https://investresolve.com/blog/same-same-but-different/

  continue reading

22 episod

Artwork
iconKongsi
 
Manage episode 233871462 series 2508179
Kandungan disediakan oleh ReSolve Asset Management. Semua kandungan podcast termasuk episod, grafik dan perihalan podcast dimuat naik dan disediakan terus oleh ReSolve Asset Management atau rakan kongsi platform podcast mereka. Jika anda percaya seseorang menggunakan karya berhak cipta anda tanpa kebenaran anda, anda boleh mengikuti proses yang digariskan di sini https://ms.player.fm/legal.

The team has spent the last 11 episodes discussing the importance of asset allocation; the role of systematic “factor” tilts like momentum, value and trend; and how portfolio optimization can act as a force multiplier on long-term performance.

This episode comes full circle by integrating all of the concepts described thus far: Asset Allocation, Risk Balance, Ensemble Methods, Portfolio Optimization and Factor investing, using multi-asset momentum as a case study for this integration.

The team also discusses the importance of process diversification in terms of how to select an optimal multi-asset investment universe; diverse measures of momentum; different methods of portfolio optimization; and holding period diversification.

A fitting conclusion to the 12 Days of Wisdom series, this is one that listeners will not want to miss!

Whitepaper: http://www.investresolve.com/adaptive-asset-allocation/

Articles: https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-1-universe-selection/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-2-the-many-faces-of-price-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-3-risk-adjusted-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-4-momentum-weighting/

https://investresolve.com/blog/same-same-but-different/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-2-the-many-faces-of-price-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-3-risk-adjusted-momentum/

https://investresolve.com/blog/dynamic-asset-allocation-for-practitioners-part-4-momentum-weighting/

https://investresolve.com/blog/same-same-but-different/

  continue reading

22 episod

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