Monthly Archive: October 2022
Claudio Guazzoni – Eliminating the Downside
Today’s post is a profile of Guru investor Claudio Guazzoni, who appears in Jack Schwager’s book Stock Market Wizards. His chapter is called Eliminating the Downside.
Consolidating DC Pensions
Today’s post looks at a recent paper from LCP on whether you should consolidate your DC pensions.
Return Stacking
Today’s post looks at a recent joint paper from ReSolve Asset Management and Newfound Research called Return Stacking.
Weekly Roundup, 4th October 2022
We begin today’s Weekly Roundup with a look at the UK property market.
Read the signals
Today’s post looks at a report from the FT on how to use the sentiment in its news stories to trade financial markets.
HFEA 7 – Leveraged Permanent Portfolio and Golden Butterfly
Today’s post is another in our series on Leveraged Portfolios. We look at applying leverage to Harry Browne’s Permanent Portfolio and to the Golden Butterfly Portfolio.
Risk Parity Methods – ReSolve
Today’s post looks at a paper from ReSolve Asset Management on Risk Parity Methods and Measures of Success.