Episode Details

Back to Episodes
If it’s Broke, Fix it: Rethinking the Classic 60/40 Allocation Strategy by Using Volatility as an Asset Class

If it’s Broke, Fix it: Rethinking the Classic 60/40 Allocation Strategy by Using Volatility as an Asset Class

Season 1 Episode 54 Published 3 years, 2 months ago
Description

Todd Hawthorne of Frontier Alpha joins IBKR’s Senior Trading Education Specialist Jeff Praissman to discuss why the 60/40 classic allocation strategy is broken and how investors can use volatility to add yield and diversify their portfolio.

Sponsor Contact information:

Todd@frontieralpha.com

www.linkedin.com/in/TGH28

Note: Any performance figures mentioned in this podcast are as of the date of recording (December 15, 2022).

DISCLOSURE: OPTIONS TRADING

Options involve risk and are not suitable for all investors. Multiple leg strategies, including spreads, will incur multiple commission charges. For more information read the “Characteristics and Risks of Standardized Options” also known as the options disclosure document (ODD) or visit ibkr.com/occ

 

Listen Now

Love PodBriefly?

If you like Podbriefly.com, please consider donating to support the ongoing development.

Support Us