22 Feb 2024
51m

Andrew Slimmon on Quantitative Factors in Markets

Podcast cover

Masters in Business

This wide-ranging episode delves into the strategies and philosophies of Andrew Slimmons, an experienced asset manager. Through discussions on applied investing, concentrated portfolios, recency bias, and market dynamics, the podcast highlights the complexities of investing and the importance of considering both fundamental and behavioral factors. By sharing insights on market history, valuations, and investor psychology, the episode provides listeners with actionable lessons for navigating the ever-changing investment landscape. It emphasizes the significance of flexibility, adaptability, and a long-term perspective for successful investing.

Outlines

Sign in to continue reading, translating and more.

Open full episode in Podwise