PLAY PODCASTS
Ep. 197: John Floyd on the Biggest Trades and Risks for 2024

Ep. 197: John Floyd on the Biggest Trades and Risks for 2024

Macro Hive Conversations With Bilal Hafeez · Bilal Hafeez

January 5, 202448m 35s

Audio is streamed directly from the publisher (traffic.libsyn.com) 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

John was previously Head of Macro Strategies at Record Currency Management, an $80 billion currency manager. Prior to that, John was Chairman and CIO of Floyd Plus Currency Fund. Before that, John was a Senior Macro Proprietary Trader at Deutsche Bank and Senior Portfolio Manager at the highly successful $3bn Swiss Bank Currency Fund. John's successful track record in both macro and currency only investing spans over 25 years. John has also collaborated with psychiatrist, trading coach, and best-selling author, Ari Kiev, which led to participation in writing his book, The Psychology of Risk: Mastering Market Uncertainty. This week's podcast covers: finding asymmetric returns, how to deal with losses, meta lessons from 2023, and much more.

Follow us here for more amazing insights:

https://macrohive.com/home-prime/

https://twitter.com/Macro_Hive

https://www.linkedin.com/company/macro-hive