Why Systematic? Why CTA? Why Now? A panel event with Mercer, Campbell, EMC Capital, & Resolve

Why Systematic? Why CTA? Why Now? A panel event with Mercer, Campbell, EMC Capital, & Resolve

Author: RCM Alternatives July 27, 2023 Duration: 1:11:06

Why Systematic? Why CTA? Why Now? These are common questions on the minds of many professionals in the Managed Futures field. On this episode of the Derivative podcast, host Jeff Malec takes on a unique role as a featured guest on a panel recently hosted by RCM Alternatives in Chicago alongside Cohen & Company and Mercer.

While Jeff is usually the one leading the discussions, this time, he gets the opportunity to be a participant alongside other industry experts. Together, they delve deep into the inner workings of various trading models. The main focus of the discussion is to understand how these models function, distinguish between pod-shops and multi-strat data infrastructure, and explore the role of A.I. in the industry.

Additionally, they discuss the differences between systematic macro and trend-following approaches.

  Joining Jeff on the panel are Joe Kelly from Campbell, Brian Proctor from EMC, and Rodrigo Gordillo from Resolve. The conversation is both insightful and engaging, shedding light on the world of Managed Futures Hedge Funds — SEND IT! Chapters:

00:00-01:42=Intro

01:43-15:41=Approaching CTAs – Why now for systematic macro? Inflation, stacking (yes + this)

15:42-25:57=Current state of rising interest rates & trend following diversification

25:58-40:25=Machine learning: Parameter sets, Data, managing risk, A.I., & no emotions

40:26-48:49=Discretion: When, Why, or do we use it?

48:50-01:11:06=Questions? Let's open it up to the audience

Follow along on Twitter with Rodrigo Gordillo @RodGordilloP, Mercer @mercer, & Cohen & Company @CohenCPA for more information!

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Disclaimer: This podcast is provided for informational purposes only and should not be relied upon as legal, business, or tax advice. All opinions expressed by podcast participants are solely their own opinions and do not necessarily reflect the opinions of RCM Alternatives, their affiliates, or companies featured. Due to industry regulations, participants on this podcast are instructed not to make specific trade recommendations, nor reference past or potential profits. And listeners are reminded that managed futures, commodity trading, and other alternative investments are complex and carry a risk of substantial losses. As such, they are not suitable for all investors. For more information, visit ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠www.rcmalternatives.com/disclaimer




For investors looking beyond the traditional stock and bond markets, The Derivative offers a deep and practical exploration of the alternative investment landscape. Hosted by RCM Managing Partner Jeff Malec, this podcast demystifies complex strategies and brings listeners directly into conversations with the hedge fund managers and specialized investors who navigate these unique asset classes. Each episode breaks down the mechanics, risks, and opportunities behind non-traditional investments, from managed futures and private equity to niche market strategies. The discussions are grounded in real-world analysis, moving beyond theory to examine what actually drives performance and strategy in this dynamic corner of finance. By focusing on the people and ideas shaping the field, The Derivative provides an insider's perspective that is both educational and actionable. Listeners gain a clearer understanding of portfolio diversification and the tactical approaches used by professional fund managers. This podcast serves as a valuable resource for anyone seeking to comprehend the broader, often opaque world of alternatives, delivered through straightforward dialogue and expert commentary. Tune in for a focused and insightful ride through the strategies that define alternative investing.
Author: Language: English Episodes: 100

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