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How Hedge Funds Have Managed Market Turmoil with Jack and Max



The first 4 months of 2025 have been highly volatile hurting both equity and fixed income investors alike, but how has the “smart money” faired in this environment? Jack and Max breakdown the performance of hedge funds in Q1 and April of 2025 with data from Citco Fund Services and HFRI. They also discuss the recent moves by Yale and Harvard to sell some of their private equity stakes and other indicators that might signal trouble ahead for PE as an asset class. Follow Jack on X: https://x.com/JackFarley96

Follow Max on X: https://x.com/maxwiethe

Follow Other People’s Money on: Apple Podcast https://bit.ly/4e7QJ1M

 Spotify https://bit.ly/3Yhaazi

 YouTube https://bit.ly/3C63VXR

X https://x.com/opmpod


Published on 8 months ago






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