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Jan Hummel - Deep Diligence at Paradigm Capital

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Manage episode 418676986 series 2620185
Content provided by Columbia Business School. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Columbia Business School 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.

In this episode, Tano Santos sits down with Jan Hummel, CIO of Paradigm Capital, revisiting his investment strategies and exploring the nuanced dimensions of risk management in the evolving European asset landscape. Jan discusses the foundational investment philosophy of Paradigm Capital, emphasizing risk minimization and the strategic deployment of assets across Europe. Key discussions pivot around the firm's selective investment criteria, focusing on companies in the small to mid-cap space and the significance of geographical and cultural nuances in their investment decisions. This conversation offers listeners insights into the subtleties of value investing, portfolio construction, the implications of geopolitical and economic dynamics on market opportunities, and so much more!

Key Topics:

  • Introduction and background of Jan Hummel (0:37)
  • Fundamental tenets of investment philosophy at Paradigm Capital (1:25)
  • The impact of European market dynamics on investment strategies (7:25)
  • Sourcing and valuing investment opportunities (9:47)
  • Specific approaches to risk management and hedging strategies (22:23)
  • Portfolio sizing and the decision-making process behind exiting investments (26:00)
  • The role of geographical focus in Paradigm's investment strategy (29:12)
  • Valuation techniques and practical applications in portfolio management (32:03)
  • Trends and challenges in the European asset management industry (36:48)
  • Macro-economic factors influencing market conditions and investment decisions (40:30)
  • Prospects for growth and opportunities in the European financial landscape (45:17)
  • Jan’s book recommendations (46:06)
  • And much more!

Mentioned in this Episode:

Thanks for Listening!

Be sure to subscribe on Apple, Google, Spotify, or wherever you get your podcasts. And feel free to drop us a line at valueinvesting@gsb.columbia.edu.

Follow the Heilbrunn Center on social media on Instagram, LinkedIn, and more!

  continue reading

62 episodes

Artwork
iconShare
 
Manage episode 418676986 series 2620185
Content provided by Columbia Business School. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Columbia Business School 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.

In this episode, Tano Santos sits down with Jan Hummel, CIO of Paradigm Capital, revisiting his investment strategies and exploring the nuanced dimensions of risk management in the evolving European asset landscape. Jan discusses the foundational investment philosophy of Paradigm Capital, emphasizing risk minimization and the strategic deployment of assets across Europe. Key discussions pivot around the firm's selective investment criteria, focusing on companies in the small to mid-cap space and the significance of geographical and cultural nuances in their investment decisions. This conversation offers listeners insights into the subtleties of value investing, portfolio construction, the implications of geopolitical and economic dynamics on market opportunities, and so much more!

Key Topics:

  • Introduction and background of Jan Hummel (0:37)
  • Fundamental tenets of investment philosophy at Paradigm Capital (1:25)
  • The impact of European market dynamics on investment strategies (7:25)
  • Sourcing and valuing investment opportunities (9:47)
  • Specific approaches to risk management and hedging strategies (22:23)
  • Portfolio sizing and the decision-making process behind exiting investments (26:00)
  • The role of geographical focus in Paradigm's investment strategy (29:12)
  • Valuation techniques and practical applications in portfolio management (32:03)
  • Trends and challenges in the European asset management industry (36:48)
  • Macro-economic factors influencing market conditions and investment decisions (40:30)
  • Prospects for growth and opportunities in the European financial landscape (45:17)
  • Jan’s book recommendations (46:06)
  • And much more!

Mentioned in this Episode:

Thanks for Listening!

Be sure to subscribe on Apple, Google, Spotify, or wherever you get your podcasts. And feel free to drop us a line at valueinvesting@gsb.columbia.edu.

Follow the Heilbrunn Center on social media on Instagram, LinkedIn, and more!

  continue reading

62 episodes

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