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Daniel Villalon of AQR - Replay: Investing in the Face of Market Risks

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Manage episode 375543824 series 3245019
Content provided by Orion Portfolio Solutions. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Orion Portfolio Solutions or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://player.fm/legal.

Due to the many risks facing today's market, many investors wonder whether now is the time to invest or just sit on the sidelines. While diversification can minimize exposure to any single economic, political, or market event, it's important to know the market's top risks to enable investors to manage expectations and protect their portfolios. But what are today's top market risks, and how can investors move forward?

In this episode, Rusty and Robyn talk with Daniel Villalon, Principal and Global Co-Head of the Portfolio Solutions Group at AQR Capital Management. In his role, Daniel oversees the team responsible for advising clients on portfolio challenges and creating investor-oriented thought leadership. Additionally, Daniel founded, co-wrote, and hosted AQR’s podcast, The Curious Investor.

Daniel talks with Rusty and Robyn about the market's top risks, what investors should expect moving forward, and how they can stay invested and reach their financial goals.

Key Takeaways

  • [05:25] - How Daniel went from the vineyard to the financial industry.
  • [08:28] - The key role Daniel plays at AQR Capital Management.
  • [11:04] - AQR's market outlook for the remainder of the year.
  • [12:37] - The inflation perspective of AQR.
  • [14:10] - Daniel's thoughts on recession risk.
  • [17:01] - How Daniel rates the risk of fighting the Fed.
  • [18:54] - How AQR measures the impact of investor expectations.
  • [21:29] - Another potential risk Daniel is keeping an eye on.
  • [23:38] - What investors could expect in terms of market returns in the years ahead.
  • [26:58] - The return expectations for growth stocks versus value stocks.
  • [32:16] - Why firms should have CMAs.
  • [36:42] - What investors should do with their portfolios, given all the risks and challenges in the current market.
  • [41:48] - AQR's perspective on commodities and real estate.
  • [46:06] - How Daniel views long-short strategies.
  • [47:50] - AQR's thoughts on managed futures and merger arbitrage.
  • [52:48] - Daniel's personal investment strategy.
  • [54:50] - How Daniel maintains his physical and mental well-being to perform at his best.

Quotes

[11:23] - "Coming up with an expected return for the future is easy to do, but very hard to do well." - Daniel Villalon

[12:00] - "Diversification is the most reliable or least imperfect solution when positioning yourself for a world where you don't know with certainty what the next few months will bring." - Daniel Villalon

[13:53] - "Inflation is a risk that neither of the two biggest traditional asset classes is particularly well suited to address." - Daniel Villalon

[20:55] - "One of the challenges in terms of investor expectations is a lot of folks, implicitly or not, set their expectations based on what they've seen recently. That’s created a massive disconnect regarding what people expect from markets and what they're likely to get over the next five to 10 years." - Daniel Villalon

Links

Connect with Us

1211-OPS-7/12/2022

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250 episodes

Artwork
iconShare
 
Manage episode 375543824 series 3245019
Content provided by Orion Portfolio Solutions. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Orion Portfolio Solutions or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://player.fm/legal.

Due to the many risks facing today's market, many investors wonder whether now is the time to invest or just sit on the sidelines. While diversification can minimize exposure to any single economic, political, or market event, it's important to know the market's top risks to enable investors to manage expectations and protect their portfolios. But what are today's top market risks, and how can investors move forward?

In this episode, Rusty and Robyn talk with Daniel Villalon, Principal and Global Co-Head of the Portfolio Solutions Group at AQR Capital Management. In his role, Daniel oversees the team responsible for advising clients on portfolio challenges and creating investor-oriented thought leadership. Additionally, Daniel founded, co-wrote, and hosted AQR’s podcast, The Curious Investor.

Daniel talks with Rusty and Robyn about the market's top risks, what investors should expect moving forward, and how they can stay invested and reach their financial goals.

Key Takeaways

  • [05:25] - How Daniel went from the vineyard to the financial industry.
  • [08:28] - The key role Daniel plays at AQR Capital Management.
  • [11:04] - AQR's market outlook for the remainder of the year.
  • [12:37] - The inflation perspective of AQR.
  • [14:10] - Daniel's thoughts on recession risk.
  • [17:01] - How Daniel rates the risk of fighting the Fed.
  • [18:54] - How AQR measures the impact of investor expectations.
  • [21:29] - Another potential risk Daniel is keeping an eye on.
  • [23:38] - What investors could expect in terms of market returns in the years ahead.
  • [26:58] - The return expectations for growth stocks versus value stocks.
  • [32:16] - Why firms should have CMAs.
  • [36:42] - What investors should do with their portfolios, given all the risks and challenges in the current market.
  • [41:48] - AQR's perspective on commodities and real estate.
  • [46:06] - How Daniel views long-short strategies.
  • [47:50] - AQR's thoughts on managed futures and merger arbitrage.
  • [52:48] - Daniel's personal investment strategy.
  • [54:50] - How Daniel maintains his physical and mental well-being to perform at his best.

Quotes

[11:23] - "Coming up with an expected return for the future is easy to do, but very hard to do well." - Daniel Villalon

[12:00] - "Diversification is the most reliable or least imperfect solution when positioning yourself for a world where you don't know with certainty what the next few months will bring." - Daniel Villalon

[13:53] - "Inflation is a risk that neither of the two biggest traditional asset classes is particularly well suited to address." - Daniel Villalon

[20:55] - "One of the challenges in terms of investor expectations is a lot of folks, implicitly or not, set their expectations based on what they've seen recently. That’s created a massive disconnect regarding what people expect from markets and what they're likely to get over the next five to 10 years." - Daniel Villalon

Links

Connect with Us

1211-OPS-7/12/2022

  continue reading

250 episodes

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