Remove Communication Remove Risk Management Remove White Paper
article thumbnail

Demystifying Systematic Fixed Income Investing

ClearMoney

More Robust Risk Management. We believe broad diversification is the primary tool for controlling risk in both equities and fixed income, adding to the appeal of systematic investing. However, both goals and risks can be more clearly defined for fixed income relative to equities. 1 (January 2016): 69–103.

article thumbnail

Transcript: Elizabeth Burton, Goldman Sachs Asset Management

The Big Picture

Elizabeth Burton : I think it’s because I went into risk management straight out school on the risk side of fund to funds and, and various other industries. So, so let’s talk a little bit about risk management. We actually have a budget for risk management and technology and tools.

Assets 147
Insiders

Sign Up for our Newsletter

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.

article thumbnail

Transcript: Sean Dobson, Amherst Holdings

The Big Picture

And so the other thing is, is that, and I think it’s our core risk management culture, is that we think that till risk is way more probable than everyone else does. So, so one of the problems is once you see something like that, you kind of look for them everywhere. I never remember it. It was five financial crises.

Banking 147
article thumbnail

Transcript: Brian Hurst, ClearAlpha

The Big Picture

I mean you mentioned it earlier on, I mean, Cliff’s hilarious and 00:14:09 [Speaker Changed] He’s a funny guy and it’s rare to find someone who is a quants who can communicate as eloquently as he can and at the same time has such a devilish sense of humor. This is a white paper I wrote from my clear alpha C-I-O-C-E-O hat.