26 min listen
Ep. 197: John Floyd on the Biggest Trades and Risks for 2024
Ep. 197: John Floyd on the Biggest Trades and Risks for 2024
ratings:
Length:
49 minutes
Released:
Jan 5, 2024
Format:
Podcast episode
Description
John was previously Head of Macro Strategies at Record Currency Management, an $80 billion currency manager. Prior to that, John was Chairman and CIO of Floyd Plus Currency Fund. Before that, John was a Senior Macro Proprietary Trader at Deutsche Bank and Senior Portfolio Manager at the highly successful $3bn Swiss Bank Currency Fund. John’s successful track record in both macro and currency only investing spans over 25 years. John has also collaborated with psychiatrist, trading coach, and best-selling author, Ari Kiev, which led to participation in writing his book, The Psychology of Risk: Mastering Market Uncertainty. This week's podcast covers: finding asymmetric returns, how to deal with losses, meta lessons from 2023, and much more. Follow us here for more amazing insights: https://macrohive.com/home-prime/ https://twitter.com/Macro_Hive https://www.linkedin.com/company/macro-hive
Released:
Jan 5, 2024
Format:
Podcast episode
Titles in the series (100)
Lord Mervyn King On The Wrong Use Of Monetary Policy In A Radically Uncertain World: In this episode, I talk with Lord Mervyn King. He needs no introduction, except to say he is one of the leading figures in central banking over the past few decades. He served for ten years as the Governor of the Bank of England, which included... by Macro Hive Conversations With Bilal Hafeez