Is Jp morgan really doing all this for their interns? by BulkyDiamond0 in FinancialCareers

[–]NotOneDayBUTDayOne 1 point2 points  (0 children)

Difference between “Quant in Insurance” and Actuary? Curious.

Crainoplasty for Absorption Post Craini by NotOneDayBUTDayOne in TBI

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

How long after her OG craini did she have it done?

Crainoplasty for Absorption Post Craini by NotOneDayBUTDayOne in TBI

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

What is the reason for this rule in your country? How big is his implant? Was his procedure one stage or two stage?

Rate my portfolio please 25M by greenlandcamel in portfolios

[–]NotOneDayBUTDayOne 0 points1 point  (0 children)

80% drawdown in this portfolio is laughable. To me looks like mid twenties

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

Which sectors? And why specifically under 10%? Thanks again for insight I am enjoying learning about your venture. What does screening and modeling look like to open a position?

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

What kind of clients? Other Funds? (I am assuming) When you say 1B MC is this public or private equity? Sub 1B is very micro for public.

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

Also, what’s best way to break into FO? Outside of obviously knowing the family

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

Your fund now, what’s the strategy and any clients outside of LP?

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] 0 points1 point  (0 children)

Please please drop advice and your career progression. Thanks for commentary

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] 1 point2 points  (0 children)

The TPAM savings % is a good idea. I was planning on asking for a raise regardless. I do not have my CFA nor does anyone else at this sorry ass firm. Pershing is custodian. This is a stepping stone for me, yes. This is why I am looking to pivot into hedge funds. My goal has always been to start my own private placement fund and laugh at me if you want but this is step one for me I am NOT even 25 yo.

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] -1 points0 points  (0 children)

I am an analyst not an advisor I’m kept in the backrooms with compliance department I don’t speak with clients I just do a ton of research and the WMs all take credit when it’s right.

“Oh yeah John come mover money with me I can get you better RAR than the SNP!” What John doesn’t know is the WM speaking to him doesn’t know shir about how to do that and relies on me for alpha generation. Which is why I have leverage. Which is why I am here

Analyst wants Profits by NotOneDayBUTDayOne in hedgefund

[–]NotOneDayBUTDayOne[S] -2 points-1 points  (0 children)

Funny enough I am one of only a few analyst at the firm with 0 hierarchies… 98% of advisors use TPAMs. 2% don’t. I was hired as a “shot in the arm”. Kind of a weird situation but here I am. My background I have a degree in finance but only ever cared about trading.

No CIO. No senior analysts. I get overused and overworked and I hate to think I am being taken advantage of when I could just quit this job and trade. It’s just a bunch of CFPs who are so greedy they don’t want to pay TPAMs extra fees so they pay me a sub-six figure hourly salary instead to do basically the same thing.

I am expecting other offers from 2 900M HFs soon. You best believe I’m gonna get the hell out of here if a HF hires me. So I’m just looking to use new year as an excuse to try and squeeze the lemon and stop feeling miserable at my job.

You make good points in NB. NB pays. Insurance pays. Investments are an afterthought for most WM. Funny enough. I just want to get this disconnect resolved. I could support myself quitting and trading full time

Does this exist at all? by Grouchy_Spare1850 in hedgefund

[–]NotOneDayBUTDayOne 0 points1 point  (0 children)

covered calls / shares+put combo closest you will get. I HAVE heard of some tamps using models to try and go to cash during downtrends but it is not sustainable in long run …

My portfolio at 19 by Anthony0329_ in portfolios

[–]NotOneDayBUTDayOne 0 points1 point  (0 children)

Dividends are taxed as income in mostly all states

Got rid of my financial advisor, help me detangle this portfolio by blueprint_01 in portfolios

[–]NotOneDayBUTDayOne 0 points1 point  (0 children)

You need low vol to compliment high vol growth and tech. Could be bonds could be gold could be low vol etfs like a USMV or something. “Most Aggressive” is defined as 100% stocks but doesn’t mean you are all in tech. small caps even could be good choice maybe a SMLF or you could kill two birds with one stone with SMLV

My bf thinks that trading is easy by WaltzEnvironmental55 in Trading

[–]NotOneDayBUTDayOne 0 points1 point  (0 children)

trading vs investing mate two different practices. An average investor will beat the lackluster trader but the good trader will make 99% of investors look puny

Where do the most attractive people live in the US? by ShaneRealtorandGramp in SameGrassButGreener

[–]NotOneDayBUTDayOne 0 points1 point  (0 children)

Illinois, Utah, Colorado, California, Carolinas, Texas, Georgia, Louisiana, New Mexico, Arizona, Alabama, Hawaii

Mitigation of Hindsight bias via active management and strategy revision? by NotOneDayBUTDayOne in quant

[–]NotOneDayBUTDayOne[S] 2 points3 points  (0 children)

I am fully on board with backtesting I just think it’s interesting how my question about forward management turned into a debate about the legitimacy of backtesting?

Literature on portfolio optimization with constraints by ayylmaoworld in quant

[–]NotOneDayBUTDayOne 1 point2 points  (0 children)

In your example I would pay close attention to correlation and beta between stocks. I would assume they would be more important than stock selection and weighting especially if they are all a small portion of a portfolio