12 Feb 2026
1h 8m

Inside a DeFi Hedge Fund: Risk Management in a 24/7 Market ft. Evgeny Gokhberg

Podcast cover

Raoul Pal: The Journey Man

The conversation centers on navigating the complexities of the crypto market, particularly DeFi, with Evgeny Gokhberg from Re7Capital offering insights. Gokhberg details his firm's strategy of market-neutral DeFi yield, emphasizing risk management through diversification and assessing software vulnerabilities to generate returns uncorrelated with traditional assets. He also touches on Re7Capital's directional fund, which focuses on liquid ventures and altcoins, highlighting the importance of patience and understanding risk tolerance in the volatile crypto space. Both Pal and Gokhberg explore the current market downturn, attributing it to potential liquidity issues and the need to analyze multi-cycle charts for informed investment decisions.

Outlines

Part 1: Introduction, Background

Part 2: DeFi Strategies, Risk Management

Part 3: Institutional Adoption, Market Dynamics

Part 4: Altcoin Investing, Analysis

Part 5: Macro Outlook, Liquidity

Part 6: Portfolio Allocation, Conclusion

Sign in to continue reading, translating and more.

Open full episode in Podwise