48 min listen
177: Superior returns from superior risk management – Laurent Bernut
177: Superior returns from superior risk management – Laurent Bernut
ratings:
Length:
87 minutes
Released:
Feb 3, 2021
Format:
Podcast episode
Description
Ever wondered how to turn $10k into $100k (or more) in just 2 years (or less)? Many traders have, especially early in their careers… But how do professional traders achieve superior returns while also protecting capital. On this week’s episode of BST Live, Laurent Bernut from Alpha Secure Capital joined us to discuss “Superior returns from superior risk management”, and a new approach to risk management where you can put risk appetite on autopilot, protect capital and achieve superior returns. Here are just some of the tips you’ll discover: How to turn 10k into 1 million (or more) in just 2 years..., How unrealistic trading expectations set you up for failure, What is "superior" risk management and why investors are like teenage girls, Concavity and Convexity Oscillators for dynamic risk management, Position sizing with small accounts, Why you should let the market dictate the risk for you, How to judge the tradability of a strategy, plus Emotional capital vs financial capital and which is more critical, Risk management after long periods of underperformance, mean reversion vs trend following, the problem with pyramiding into positions and MUCH more. To hear all about it, head on over to bettersystemtrader.com/177 now to watch along or check in with your favourite podcast app if you like to listen. Happy trading! Andrew. PS. Laurent even turned the tables and asked me a question on why I do Better System Trader. Check out my response at bettersystemtrader.com/177 Disclaimer: Trading in the financial markets involves a substantial risk of loss and is not suitable for everyone. All content produced by Better System Trader is for informational or educational purposes only and does not constitute trading or investment advice. Past performance is not necessarily indicative of future results.
Released:
Feb 3, 2021
Format:
Podcast episode
Titles in the series (100)
013: Hedge fund manager Andreas Clenow discusses cash vs risk allocation, position rebalancing and why traditional trend following doesn't work in stocks.: Andreas Clenow is a hedge fund manager who specialises in developing and trading quantitative strategies across all asset classes. Before joining the hedge fund world by establishing his own hedge fund he maintained Global Head positions at Reuters... by Better System Trader