
22 episodes

ReSolve's Masterclass ReSolve Asset Management
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- Business
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5.0 • 14 Ratings
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Welcome to ReSolve’s Masterclass podcast channel where we explore, from first principles, timeless investment wisdom that will help you maximize your long-term success. In an expansive sequence of focused lessons from goal setting, through the full investment opportunity set, to universal rules for portfolio construction, and advanced alpha generation, our aim is to offer you a a generalizable and coherent investment framework to revolutionize your approach to wealth-creation and conservation. For many, the lessons in these series have the potential to change the way you approach the complex arena of investing altogether.
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Where the Rubber Meets the Road
How we can prepare for every investment scenario.
We discuss:
Risk Parity and Futures Markets Leverage and Value Diversification Outsourcing Expertise Integrating Asset Classes to Maximize Returns
Hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global. -
Liquidity Crashes
How can we manage for scenarios when Liquidity evaporates?
We discuss:
The mechanics of a Liquidity Shock The Fed and the Long Volatility Gap Diversification, Tail Hedge Protection and Theta Bleed Dennis Rodman and the Long Vol Trade Yield, Growth and Inflation
Hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global. -
Extracting Benefits From Anomalies
How can we move from Factor Beta to Alpha?
We discuss:
Swensen, Yale and aligning incentives The cycles of factor investing Machine learning, the Bias/Variance trade off and Alpha Ensembles Sustainable Alpha through continuous Innovation
Hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global. -
Adding More Bets
What additional Sleeves can we add to maximize diversity?
We discuss:
Style premia, factors, smart beta – the benefits and risks Efficient negative Sharpe ratios Redemptions and “noise traders” Larry Swedroe and anomalies Value characteristics and correlations Flows and Arbitrage opportunities
Hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global. -
Sticking Points
How do we eat Sharpe ratio and meet financial goals with a maximally diversified portfolio?
We discuss:
Using leverage in a robust and diversified portfolio to preserve diversification while achieving target returns Why “credit” is not a distinct asset class and does not increase diversity Integrating your bets The repercussions of levering up What makes Risk Parity hard
Hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global. -
The Rebalancing Premium
Traditional yields are low, so how do we meet our funding obligations?
We discuss:
Rebalancing highly diversified portfolios to generate 3%-5% in excess returns The Diversification Ratio and maximally diversified portfolios The increased value of maximally diversified commodity sleeves Special advantages for non-institutional investors
Hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global.
Customer Reviews
Great content!
Very engaging and informative. Well done.
Enlightening
I’ve been immersed in this kind of stuff for the past couple years in my early career but I was pleased to learn a lot from this series. The ReSolve takes advanced concepts and boils it down to digestible information. Keep up the great work!