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00:00 – Intro
03:08 – A huge thank you to listeners of the show for leaving your 5-star reviews on iTunes, and feel free to share our link with 3 of your like-minded friends: https://top-traders-unplugged.captivate.fm/listen
04:28 – Macro recap from Niels
06:15 – Weekly review of performance
11:21 – Q1, Q2 & Q3; Brett: Do you group your futures contracts into ‘risk buckets’ (sectors/groups), and give a max exposure to each ‘risk bucket’? Do you apply ‘risk-to-stop’ measures on particular types of asset class or only on the whole portfolio? How do you avoid overweighting your system toward currencies, considering the fact there are so many currency pairs to trade?
27:25 – Discussion on the key drivers for manager selection, inspired by a paper co-authored with Mark, which will be released soon
57:02 – How important consultations are in the capital allocation process
01:26:59– Benchmark performance update