PLAY PODCASTS
Beyond 60/40: The rise of hedge funds in modern portfolios
Episode 395

Beyond 60/40: The rise of hedge funds in modern portfolios

Beyond Markets

November 19, 202535m 22s

Audio is streamed directly from the publisher (media.transistor.fm) as published in their RSS feed. Play Podcasts does not host this file. Rights-holders can request removal through the copyright & takedown page.

Show Notes

The Beyond Markets podcast channel is wrapping up on a high note at the end of 2025. But do not worry! The conversation continues on our podcast Moving Markets by Julius Baer, where we'll be sharing fresh insights and analysis on current market developments.

Subscribe to Moving Markets on Spotify
Subscribe to Moving Markets on Apple Podcasts 


As markets evolve and the traditional 60/40 portfolio faces new challenges, are hedge funds becoming the next core allocation for resilient investing? In this episode of Beyond Markets, William Fong, Head of Alternatives Specialists at Julius Baer for Asia and the Middle East, speaks with Joe Dowling, Senior Managing Director and Global Head of Blackstone Multi-Asset Investing (BXMA), about how the endowment model is reshaping portfolio construction.

Joe shares insights on why institutions have leaned heavily into alternatives, how multi-strategy hedge funds are delivering uncorrelated returns, and what private investors can learn from the playbook of elite endowments. From risk management to the “democratisation of alternatives”, this episode explores how hedge funds may just be part of the new 60/40 for long-term investors seeking durability and diversification.

This episode was recorded on 28 October 2025.

  • (00:10) - – The endowment model
  • (03:53) - – Is it limited to institutional investors?
  • (05:31) - – A typical allocation split
  • (06:57) - – The importance of a long-term approach
  • (07:45) - – Recent criticisms of the endowment model
  • (09:32) - – Hedge funds: a bond substitute?
  • (11:52) - – The rise of multi-strategy funds
  • (13:53) - – How multi-strategy funds have performed throughout volatility
  • (15:42) - – What to look for in a good multi-strategy fund
  • (17:02) - – Absolute return vs index investing
  • (19:02) - – Are multi-strategy funds getting too big?
  • (20:46) - – Are single-manager, single-strategy funds still relevant?
  • (22:01) - – Rebalancing – a critical element
  • (23:13) - – Fund manager expertise, and the art of portfolio construction
  • (27:30) - – Thoughts on private equity and infrastructure
  • (32:02) - – An ivy league education? Or an alternatives portfolio?