Dr. Sunil Wahal: Applying Financial Science | Rational Reminder 326

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  • Опубліковано 11 жов 2024

КОМЕНТАРІ • 7

  • @slyanover
    @slyanover День тому +8

    Great episode.

  • @calum6590
    @calum6590 День тому

    Another great episode. As a UK investor out factor options are limited. Investing to hear discussion touching on problems if implemented badly.
    Just a note for RR. Was absolutely bombarded with adverts during this episode, way more than normal.

  • @katieduncan8048
    @katieduncan8048 День тому +1

    "The first part of your answer almost sounded like a risk based explanation for why the Momentum premium exists."
    😂 Loved it!

  • @WhaleEye-r4e
    @WhaleEye-r4e День тому +1

    thanks, guys

  • @matiasnicolaspizmeny
    @matiasnicolaspizmeny День тому +1

    Adriana Robertson was first, spy is definitely not passive... Then Jonathan Berk explains how the only true passive portfolio is holding the market portfolio. Now fase 3, even vanguard VT trades. They are just less active. Active vs passive is not a discrete scenario, its a continuum with an asymptote at 0 😂

  • @williamwcheung
    @williamwcheung День тому

    Following from Andrew Chen's podcast; Crisis averted? 🤣

  • @odourboy
    @odourboy 15 годин тому

    Passive, doesn't mean no trades, it means no strategic asset selection (I.e. brain dead). No?