How to Faster Enhance Strategic Asset Allocation with Tactical Models

19.October 2021

Each change in a strategic asset allocation of a professionally managed portfolio comes only after meticulous analysis. Firstly, we must understand the current status of the portfolio – how it behaved in the past, the strong and weak points of current allocation, and the main risk factor exposures. Then we can think about the future. We can decide how active we want to be, how large a risk budget we have at our disposal, and what asset classes we want to continue to focus on in our tactical models. Afterward comes the time for creativity – we can analyze opportunities and look for ideas for new models that complement what we already have. That’s time for Quantpedia Pro, and we will use this short case study and walk you through the few features that simplify the process of finding new ideas for trading strategies that fit your individual case.

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What is the Optimal Gold Allocation in a Portfolio?

13.October 2021

Ray Dalio, the founder of Bridgewater Associates L.P. and the creator of the All-Weather investment strategy, recommends having some gold in a contemporary environment. He states, “In a world of ongoing pressure for policymakers across the globe to print and spend, zero interest rates, tectonic shifts in where global power lies, and conflict, gold has a unique role in protecting portfolios. It’s wise to hold some gold.” Therefore, one would ask a question, what is the optimal weight of gold in a portfolio?

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Insider Trading: What Happens Behind Closed Doors

11.October 2021

Corporate insiders often have insight into a company’s private information, which might help them predict how the shares’ price will move in the coming days. However, laws and regulations are designed to keep them from trading based on this knowledge, as it would be unfair and hurt the company’s other shareholders. This includes the prohibition of insider trading or designing a 10b5-1 plan, which we will discuss in this article. Anyways, knowing about incoming losses or the will to create profits might lead these insiders to different practices that could be questioned. Let’s look at some of the newest research concerning these issues.

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Three Simple Tactical FX Hedging Strategies

8.October 2021

There are many ways one can lose money when investing, and exchange rates are one of the potential risk factors. Luckily, there are several ways to minimize this type of loss in your portfolio. Systematic FX hedging that uses currency factor strategies is a way of protecting an existing or anticipated position from an unwanted move in an exchange rate. It does not eliminate the risk of loss completely but helps to manage currency exposure better.

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Quantpedia Highlights in September 2021

4.October 2021

Hello all,

What have we accomplished in the last month?

– A new Portfolio Clustering Quantpedia Pro report
– 13 new Quantpedia Premium strategies have been added to our database
– 10 new related research papers have been included in existing Premium strategies during the last month
– Additionally, we have produced 10 new backtests written in QuantConnect code
– And finally, 5+3 new blog posts that you may find interesting have been published on our Quantpedia blog in the previous month

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