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Innehåll tillhandahållet av Livewire Markets. Allt poddinnehåll inklusive avsnitt, grafik och podcastbeskrivningar laddas upp och tillhandahålls direkt av Livewire Markets eller deras podcastplattformspartner. Om du tror att någon använder ditt upphovsrättsskyddade verk utan din tillåtelse kan du följa processen som beskrivs här https://sv.player.fm/legal.
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Buy Hold Sell: The best and worst investment ideas from 5 ASX sectors

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Manage episode 449704862 series 2656707
Innehåll tillhandahållet av Livewire Markets. Allt poddinnehåll inklusive avsnitt, grafik och podcastbeskrivningar laddas upp och tillhandahålls direkt av Livewire Markets eller deras podcastplattformspartner. Om du tror att någon använder ditt upphovsrättsskyddade verk utan din tillåtelse kan du följa processen som beskrivs här https://sv.player.fm/legal.

One key function of long/short fund managers is to compare similar companies and trade them against each other.

These companies are often found within sectors but can also be found across sectors, as companies with similar characteristics.

Once identified, a long/short manager will buy the stronger-performing company in the pair and sell the weaker-performing company. This is known as a 'pairs' trade. This strategy also has the benefit of being market-neutral (given one long and one short trade in the pair).

The ASX is littered with potential pairs trading opportunities. Some examples include Coles and Woolworths, Fortescue and Rio Tinto, and Santos and Woodside.

Given the focus on comparing companies and actively trading them against each other, who better to ask for their best and worst picks in a sector than a couple of long/short fund managers?

For those who love stock picks on both sides of the ball, this episode is for you.

Livewire's James Marlay was joined by Tribeca Investment Partners' Jun Bei Liu and ClearLife Capital's David Moberley to discuss their best and worst picks in five different sectors.

Note: This episode was recorded on Wednesday 6 November 2024.

  continue reading

358 episoder

Artwork
iconDela
 
Manage episode 449704862 series 2656707
Innehåll tillhandahållet av Livewire Markets. Allt poddinnehåll inklusive avsnitt, grafik och podcastbeskrivningar laddas upp och tillhandahålls direkt av Livewire Markets eller deras podcastplattformspartner. Om du tror att någon använder ditt upphovsrättsskyddade verk utan din tillåtelse kan du följa processen som beskrivs här https://sv.player.fm/legal.

One key function of long/short fund managers is to compare similar companies and trade them against each other.

These companies are often found within sectors but can also be found across sectors, as companies with similar characteristics.

Once identified, a long/short manager will buy the stronger-performing company in the pair and sell the weaker-performing company. This is known as a 'pairs' trade. This strategy also has the benefit of being market-neutral (given one long and one short trade in the pair).

The ASX is littered with potential pairs trading opportunities. Some examples include Coles and Woolworths, Fortescue and Rio Tinto, and Santos and Woodside.

Given the focus on comparing companies and actively trading them against each other, who better to ask for their best and worst picks in a sector than a couple of long/short fund managers?

For those who love stock picks on both sides of the ball, this episode is for you.

Livewire's James Marlay was joined by Tribeca Investment Partners' Jun Bei Liu and ClearLife Capital's David Moberley to discuss their best and worst picks in five different sectors.

Note: This episode was recorded on Wednesday 6 November 2024.

  continue reading

358 episoder

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