Please send your questions to email@example.com
0:00 - Intro
0:50 - Weekly recap
20:15 - Top tweets
38:50 - Question 1: Kyle; What’s the preferred method of dynamically adjusting/rebalancing a portfolio?
49:30 - Question 2: Dave; Please describe ways to reduce risk in drawdowns
52:50 - Question 3: Dimitry; What time frames do you consider too long to be effective (ex. quarterly)
57:45- Question 4: Dimitry; At what point in drawdown (%) do you say something is wrong with the system?
1:01:30 - Question 5: Robert; Do you typically trade the front month contract or use proprietary methods to select contracts?
1:04:30 - Performance recap