A fund manager who chooses market cap weighted portfolio allocation for a cryptocurrency fund in 2018 is either incredibly inefficient in risk management or has no clear knowledge of cryptocurrency market dynamics.
I think it is the latter, which in itself is proof that he is also inefficient in risk management, which requires you to have a clear knowledge of the market dynamics!
I meant they either have no idea how the market moves or no idea how to diversify between digital and traditional assets. But now that I think about it, you're 100% correct. Knowing your market is risk management 101. Thank you so much for the input!
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Oh yeah, you were clear in that.
Don't worry, I enjoyed reading your article. Unique original content with plenty of takeaways, for a novice investor like me. Thanks.
Glad you enjoyed it, keep an eye on this space for more :)
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