Welcome to the Algorithmic Advantage – 026 – Gary Antonacci II – New Research & Updated Models
New Episode Alert!
In this episode of The Algorithmic Advantage, GaryAntonacci joins Simon and me for another insightful conversation that dives deep into the world of market trends and momentum!
We explore Gary’s current research and updates to his proprietary models, covering:
- A century of sector data validating trend-following strategies based on channel breakouts.
- Gary’s multi-faceted approach, combining rate of change, market structure, and breakout models for robust diversification.
- His layered model approach to maximize capital efficiency and find uncorrelated market opportunities.
- Sneak peek into his upcoming book, delving into trend-following, portfolio management, and the dynamics of riskier assets.
This episode is packed with valuable insights for anyone passionate about refining their trading strategies and understanding the nuances of market behavior.
Tune in now and uncover the secrets of efficient portfolio management and trend-following mastery with one of the top experts in the field!
#Trading #QuantitativeFinance #Momentum #TrendFollowing #ETF #PortfolioManagement #Podcast
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