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Conversations with Frank Fabozzi, Featuring Kari Vatanen

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Key dialogue factors

  • Past the standard 60/40 portfolio: Why traders are rethinking the position of bonds, diversification, and portfolio goals.
  • Whole portfolio considering: Transferring past asset class allocation to give attention to the true drivers of danger and return. 
  • Various investments and liquidity: Balancing illiquidity premia with the pliability institutional portfolios require. 
  • Various danger premia: Classes from a decade of systematic methods, crowding, and evolving market dynamics. 
  • Threat administration as a strategic partner: How integrating danger into portfolio development can enhance resilience and decision-making.
  • Conduct, knowledge, and AI: Why behavioral finance, quantitative strategies, and synthetic intelligence are shaping the subsequent era of institutional investing.



Rethinking Portfolio Development for a New Market Period
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On this episode of Conversations with Frank Fabozzi, CFA, Kari Vatanen, CFA attracts on a long time of expertise in asset allocation, danger administration, derivatives, and pension investing to look at how portfolio development is evolving past conventional fashions. As inflation uncertainty, non-public markets, and shifting market dynamics reshape funding choices, he explores the rise of whole portfolio considering, the rising position of different investments and factor-based approaches, and why integrating danger administration into strategic decision-making is extra necessary than ever. The dialogue additionally appears forward to how behavioral insights, quantitative strategies, and AI are influencing the way forward for institutional investing.

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Tags: ConversationsFabozzifeaturingFrankKariVatanen
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