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How to Get an Edge in the Stock Market with Andy Constan Ep.131

Episode 131:

Are You An Investor Who Wants To Increase Your Risk Adjusted Returns? Then this episode is for you!

My special guest, Andy Constan, explores INVESTING with goal of achieving an EDGE – Excess Returns – in the Markets. That is the goal, right? How do you get that EDGE? Let’s explore ALPHA. Is ALPHA Impossible? When You “Think” You Found ALPHA, Is It Really Just Beta In Disguise? What is ALPHA? What is BETA?

Enter Andy Constan, over 35 years of investing and trading Global Markets, from Bioengineering at PENN to Head of Global Equity Derivatives at Salomon Brothers to Macro Investing at Bridgewater Associates to Founding 2 Relative Value Hedge Funds to now CEO/CIO at DAMPED SPRING (full service macro & commodity research firm) and is one of the 2 GRAY BEARDS plus more in between!

We discuss the WHY and WHEN in investing with focus on global macro and risk adjusted returns in the markets. It’s time to learn more about Bonds, Yields, Inflation, Growth, Liquidity, Risk, and ALPHA and BETA Investing Strategies. How do you distinguish Alpha from Beta?

Is Investing in Assets a “Free Lunch?” Know Your ALPHA & BETA Investing Strategies! An episode you cannot afford to miss!

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