Episode 1: Why Mutiny? Part One: Diversification


Diversification – Decision making under opacity, Parrondo’s paradox, a historical view

This podcast is an open-ended exploration of topics relating to growing and preserving your wealth including investing, markets, decision making under opacity, risk, volatility, diversification, and complexity.

Mutiny Fund is a multi-strategy long volatility fund designed to give retail investors a way to insure their portfolios against volatility, tail risk, and black swan events.

This episode is the first in a four-part series where Jason and Taylor discuss the thesis behind Mutiny. In this episode they talk primarily about Diversification – the role it plays in the investor’s portfolio, decision making under opacity, Parrondo’s paradox, and a historical view of diversification.

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Have comments about the show, or ideas for things you’d like Taylor and Jason to discuss in future episodes? We’d love to hear from you at info@mutinyfund.com


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