Global Macro Trading, Hedge Funds, The Covid Pandemic, and Market Trends

 

In this episode, Colin Lancaster discusses the evolution of global macro, the structure of hedge fund investing, and the challenges of repositioning risk during a crisis. Set against the backdrop of the Covid panic, the conversation also touches on how modern financial markets behave under stress and the pressures faced by investors trying to navigate abrupt market dislocations.

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Fed Policy Implications: What investors need to know in the current economic landscape

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