TopTradersUnplugged.com
TopTradersUnplugged.com
Niels Kaastrup-Larsen | Trend Following Expert | 10-Year+ Podcast with 10M+ Downloads | Talks about Alternative Investments, Hedge Funds, Global Macro, Geo-Politics, Commodities, Quant Investing, Crypto, and Volatility. Join the conversation!
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TopTradersUnplugged.com
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Podcast website
Latest episode
Jul 11, 2026
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Episodes
181 Systematic Investor Series ft. Richard Brennan – February 27th, 2022 28.02.2022 1:23:41
Richard Brennan joins us today to discuss the power of Trend Following during periods of heightened uncertainty, Trend Following applied to the ESG space, how endogenous price shocks cause longer-term trends, the new Top Traders Monthly Trend Following report, shorter-term Trend Following versus longer-term, and how ‘buy the dip’ investors are likely unprepared for sustained underperformance in st...
ALO03: Lessons from a $25 billion CIO ft. Elizabeth Burton 24.02.2022 1:03:54
Alan Dunne is joined today by Elizabeth Burton to discuss managing a public fund versus a private fund, the challenges to those invested in the traditional 60 / 40 portfolio, the current outlook for inflation, performing above expectations, how to re-position a portfolio for higher expected inflation, fixed income versus real assets, categorising asset classes effectively, the limits of mean varia...
180 Systematic Investor Series ft. Mark Rzepczynski – February 20th, 2022 20.02.2022 1:17:34
Mark Rzepczynski joins us today to discuss Trend Following versus Momentum strategies, the need to be humble about making economic forecasts, how Central Bank policies affect Trend Following performance, Cathie Wood and ARKK coming under pressure from the media, Trend Following on options, calculating a systems’ risk-to-stop, vetting new investors for their ability to handle risk, hard data versus...
ALO02: Properly Diversifying a $1.6 Trillion Portfolio ft. Sebastien Page — February 16th, 2022 16.02.2022 1:16:17
Alan Dunne is joined today by Sebastien Page to discuss how price shocks affect correlations, approaches to strategic asset allocation, how to position portfolios for the years ahead, the current outlook for equities their various sectors, investing in a rising interest rate environment, responding to unexpected regime shifts in the markets, defining and achieving utility maximisation, the merits...
179: A New Golden Era for Trend Followers ft Alan Dunne – February 12th, 2022 12.02.2022 1:04:46
Today, Alan Dunne joins us to discuss how the change of tone from central banks can affect markets globally, Trend Following in a rising interest rate environment, the case for and against including carry trades in a Trend Following portfolio, how managed futures Trend Following can help investors throughout ever-changing markets, the future of the traditional 60 / 40 portfolio, some takeaways fro...
ALO01: Adapting to Market Cycles ft. Phil Huber - February 9th, 2022 09.02.2022 1:06:07
Alan Dunne is joined today by Phil Huber, in the first our new Allocator Series, to discuss the education gap that needs to be filled regarding efficient capital allocation, the typical clients and types of portfolios that Phil deals with, adjusting portfolios to accommodate for changing market cycles, defining ‘alternative investments’, the extent to which a portfolio should be actively managed,...
10 Volatility Series: Why We All Need Volatility ft. Cem Karsan— February 2nd, 2021 09.02.2022 1:23:06
Hari Krishnan is joined today by Cem Karsan, to discuss feedback loops across different markets, the decision to manage outside money, how institutions make trading decisions, the global macro effects from COVID-19, the importance of dealer flows in the markets, the feedback loop between options and their underlying assets, and approaches to delta hedging. In this episode, we discuss: •How market...
178 Systematic Investor Series ft. Jerry Parker – February 6th, 2022 06.02.2022 1:17:07
Jerry Parker joins us today to discuss the importance of hanging on to your outlier winners, value investing versus trend following, the optimum number of entry & signals per trade, the need to redefine ‘safe assets’, Jerry & Richard Brennans’ thoughts on Howard Marks’ opinion of Trend Following, risk parity within a Trend Following portfolio, the unpredictability of endogenous outliers, and decon...
177 Systematic Investor Series ft. Mark Rzepczynski – January 31st, 2021 31.01.2022 1:17:04
Mark Rzepczynski joins us today to discuss how Federal Reserve policy affects the Trend Following environment, the benefits of scaling into and out of positions, Howard Marks’ opinion on the value of price, the factors that drive commodity prices, why typical inflation-hedges may not be as reliable as their reputation implies, how Trend Following is the perfect way to complete your portfolio, and...
09 Volatility Series: The Magical Properties of Money ft. David Orrell — January 26th, 2022 26.01.2022 1:05:28
Hari Krishnan is joined today by David Orrell, to discuss the problems with using physics analogies on financial markets, the cause and effects of price impacts, David’s new book: ‘Money, Magic, and How to Dismantle a Financial Bomb’, the magical properties of money, how sentiment drives price although it is so unpredictable in nature, the similarities between weather forecasting and economics, th...
176 Systematic Investor Series ft. Richard Brennan – January 23rd, 2021 23.01.2022 1:28:42
Richard Brennan joins us this week to discuss how to spot potential outlier trades before they occur, the power of simple trading rules over complexity, why endogenous events move markets 90% of the time while news events are behind only 10% of large market moves, how Trend Following models safely reduce risk exposure automatically as drawdowns increase, how to approach correlated markets in your...
08 Volatility Series: Adaptation To Change ft. Jean-Philippe Bouchaud — January 19th, 2022 20.01.2022 1:02:28
Hari Krishnan is joined today by Co-Founder & Chairman of Capital Fund Management (CFM) Jean-Philippe Bouchaud, to discuss how news drive price action, and some of the science behind the large price movements, how we should think about adapting to changing dynamics such as correlations, Jean-Phillipe’s background in physics and journey into finance, the effectiveness of the Bloomberg terminal, usi...
175 Systematic Investor Series ft. Rob Carver – January 16th, 2021 20.01.2022 1:26:17
Rob Carver joins us today to discuss the different ways that Trend Following is perceived by investors, the optimum amount of positions to trade at once, rating the riskiness of various investment strategies, Trend Following on the VIX, suitable risk amounts per market, what to do with the free cash in your futures account, if Trend Followers pyramid positions, trading CFDs and dealing with transa...
VOL07: Participate & Protect ft. Dave Dredge 17.01.2022 1:06:50
Hari Krishnan is joined today by Dave Dredge, to discuss how long-volatility strategies can improve on the traditional 60/40 portfolio, the concept of ‘participate and protect’, the importance of understanding why compounding is the ultimate goal, the ‘always good weather’ portfolio, trading Bitcoin volatility, being a ‘value buyer’ of volatility, mechanisms for taking profits, and how to size por...
174 Systematic Investor Series ft. Alan Dunne – January 10th, 2021 10.01.2022 1:06:43
Today, Alan Dunne joins us to discuss what the future could look like without central bank liquidity being pumped into the markets, macro versus quantitative trading approaches, how to avoid crowded strategies, some post analysis of a trend following research paper, whether CTAs are being gamed by other participants, analysing the various methods of price trend measurements, what may have caused a...
06 Volatility Series ft. Benn Eifert — January 5th, 2021 10.01.2022 1:09:14
On today’s episode, Hari Krishnan is joined today by Benn Eifert, to discuss running a volatility fund, the benefits that Benn gets from using Twitter, how to effectively serve clients as a volatility trader, the drawbacks of hedging via ETFs, monitoring market flows, the popularity of short-dated options, implied volatility versus realised volatility, how correlations change over time, balancing...
173 Systematic Investor Series ft. Jerry, Moritz, Rob, Mark & Rich – January 2nd, 2022 02.01.2022 1:33:13
Today we continue our special Part 2 end-of-year episode featuring all co-hosts of the show, together at the same time, to discuss why you should be invested in numerous different markets, why more Trend Following firms should be trading single stocks, the optimum amount of systems to run at the same time, whether diversifying across markets or diversifying across systems is more important, some t...
TTU119: The Secret to becoming Richer, Wiser, Happier ft. William Green 02.01.2022 1:43:42
What if there was one or two things that, above all, the best investors of all time have in common? Would you be interested to know what this is? Our special guest today, William Green, has written about this in his new book, called ‘Richer, Wiser, Happier’, where he draws upon his past interviews with over forty of the most successful investors of all time, to find out some of the ingredients tha...
172 Systematic Investor Series ft. Jerry, Moritz, Rob, Mark & Rich – December 25th, 2021 28.12.2021 1:28:24
We have a special end-of-year episode for you today, featuring all of us together for the first same time, to discuss why we are so passionate about Trend Following, the case for being a Trend Following purist, how to stay perfectly diversified, the art & perils of hunting outliers, the outlook for Trend Following performance, when and how to manually override a trading system, how to stay prepare...
TTU118: TRILLIONS...The Passive Revolution ft. Robin Wigglesworth 28.12.2021 1:37:43
Passive & quantitative investing has grown exponentially over the years, and is now responsible for trillions of dollars of investors’ capital. How has this affected the world of active money-management, and what does the rise of passive investing mean for the investment world overall? Well, it turns out that renown Financial Times global finance correspondent, Robin Wigglesworth, has a great new...
TTU117 Strategic Risk Management ft. Cam Harvey & Rob Carver 28.12.2021 1:18:04
How should you protect your portfolio against large losses, but without giving up its upside potential? To answer this question, and many more, I invited back professor of finance at Duke University, Campbell Harvey to the show. I also thought it would be fitting if Rob Carver, could also join us, considering Rob and Cam used to work together at Man AHL. Enjoy the show as we discuss how to navigat...
171 Systematic Investor Series ft Hari Krishnan – December 20th, 2021 20.12.2021 1:09:59
Today we’re joined by special guest, Hari Krishnan, to discuss the advantages and drawbacks of machine learning-based trading strategies, successful funds that utilise a machine learning investment style, defining machine learning and comparing it with artificial intelligence, how Trend Following can best integrated with machine learning, the history of machine learning in the investment world, an...
170 Systematic Investor Series ft. Rob Carver – December 12th, 2021 13.12.2021 1:23:30
We’re joined today by Rob Carver to discuss how to approach position-sizing and risk-per-trade, mean reversion trading strategies, how to invest in globally diversified systematic Trend Following CTAs, ‘buying the dip’ in the S&P 500, static and dynamic optimisation when trading smaller accounts, and the inclusion of more obscure markets into a Trend Following system. Check out our Global Macro se...
116 In Pursuit of the Perfect Portfolio ft. Professor Steve Foerster 06.12.2021 1:06:57
If we could gather all of the famous investing pioneers from world history into one room and ask them to build the perfect portfolio, what would it look like? Well, Steve Foerster and his co-author (and previous guest on the show) Andrew Lo, set out to do just that, with their new book called 'In Pursuit of the Perfect Portfolio'. I thought I'd invite Steve onto the show to discuss his new book, g...
169 Systematic Investor Series ft. Richard Brennan – December 5th, 2021 06.12.2021 1:10:24
Richard Brennan returns today to discuss the misconception of volatility as risk, thoughts on the various measures of risk, drawdowns as an opportunity ‘buy the dip’ in the Trend Following strategies, how Richard thinks about risk, the relationship between volatility and risk, and the differences between convergent and divergent traders. If you would like to leave us a voicemail to play on the sho...
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