Alternative Angles

Unlocking systematic alpha through equity extension strategies

43 min · 27. Apr. 2026
Episode Unlocking systematic alpha through equity extension strategies Cover

Beschreibung

Extension strategies sit at the intersection of alpha efficiency and portfolio construction, but how do they work in practice? In this episode of Alternative Angles, host Steve Rosen sits down with Gilbert (Gil) Haddad, Fidelity’s chief investment officer of advanced strategies and research, for an in-depth discussion on how systematically implemented equity extension strategies can unlock incremental alpha while maintaining disciplined risk management.  Listen in as Gil goes inside Fidelity’s systematic alpha platform, exploring how proprietary fundamental research and alternative data are integrated into a scalable, resilient investment process—and where extension belongs in a modern institutional portfolio.

Kommentare

0

Sei die erste Person, die kommentiert

Melde dich jetzt an und werde Teil der Alternative Angles-Community!

Loslegen

2 Monate für 1 €

Dann 4,99 € / Monat · Jederzeit kündbar.

  • Podcasts nur bei Podimo
  • 20 Stunden Hörbücher / Monat
  • Alle kostenlosen Podcasts

Alle Folgen

13 Folgen

Episode Unlocking systematic alpha through equity extension strategies Cover

Unlocking systematic alpha through equity extension strategies

Extension strategies sit at the intersection of alpha efficiency and portfolio construction, but how do they work in practice? In this episode of Alternative Angles, host Steve Rosen sits down with Gilbert (Gil) Haddad, Fidelity’s chief investment officer of advanced strategies and research, for an in-depth discussion on how systematically implemented equity extension strategies can unlock incremental alpha while maintaining disciplined risk management.  Listen in as Gil goes inside Fidelity’s systematic alpha platform, exploring how proprietary fundamental research and alternative data are integrated into a scalable, resilient investment process—and where extension belongs in a modern institutional portfolio.

27. Apr. 202643 min
Episode Commercial mortgage-backed securities: The crossroads of real estate debt and liquid credit Cover

Commercial mortgage-backed securities: The crossroads of real estate debt and liquid credit

High-yielding commercial mortgage-backed securities (CMBS) sit at the crossroads of real estate debt and liquid credit investing. In this episode of Alternative Angles, Fidelity Portfolio Manager Matt Torchia and Host Steve Rosen discuss how this nuanced and less efficient market can help provide investors with an attractive current yield, idiosyncratic alpha, and portfolio diversification.   Tune in for insights on:   * Conducting bottom-up, property-by-property valuations. * Assessing shifts in commercial real estate fundamentals and loan underwriting standards. * Navigating the market and CMBS structures after a rise in interest rates and a fall in property values. * CMBS investment examples.

5. März 202644 min
Episode Structured credit spotlight: Collateralized loan obligations Cover

Structured credit spotlight: Collateralized loan obligations

Collateralized loan obligations (CLOs) have been a cornerstone of structured credit for decades, delivering durable performance through multiple market cycles. But what makes them so resilient? In this episode of Alternative Angles, Fidelity’s Tim Hartshorn, managing director and head of CLO Capital Markets and Structuring, and Fidelity Portfolio Manager Kevin Nielsen join Host Steve Rosen to break down the architecture of CLOs—from senior secured loan portfolios to structural credit enhancements and protective covenants—and explore why CLOs remain a powerful tool for portfolio diversification and income generation. Tune in for insights on: * How CLOs are built to withstand volatility * The role of active management in navigating credit cycles  * Key trends shaping the CLO market today

28. Jan. 202649 min
Episode Inverting risk and capturing the spread: Merger arbitrage explained Cover

Inverting risk and capturing the spread: Merger arbitrage explained

In this episode of Alternative Angles, Fidelity Portfolio Manager Niraj Gupta and Host Steve Rosen explore the intricate world of merger arbitrage—a strategy focused on capturing returns from announced corporate transactions while managing downside risk. Through real-world examples, including successful and failed deals, you’ll gain a deeper understanding of how merger arbitrage synthesizes financial, legal, and trading expertise with corporate strategy assessment to create a diversifying, market-neutral strategy for institutional portfolios. Among other insights, the conversation covers: * The nuances of the discipline, what it is—and what it’s not. * Risks and rewards of merger arbitrage for an asset allocator overseeing a diversified portfolio. * Fidelity’s approach to merger arbitrage and how it produces results for investors.

17. Dez. 202541 min
Episode Managed futures: Systematically following the trend until it bends Cover

Managed futures: Systematically following the trend until it bends

Managed futures use a trend-following framework to observe the path and detect changes in the direction of financial assets. In this episode of Alternative Angles, Fidelity Portfolio Manager Roberto (Rob) Croce joins host Steve Rosen to discuss how models are built and used to spot the price path persistence of a security—a stock, bond, currency, or commodity—and how the directional price drift is ridden until the model indicates its trajectory has been disrupted.  Rob has spent the last 15 years investing in managed futures. Along with his team, Rob has developed a differentiated and disciplined systematic long/short strategy that is capital efficient and invested in a broad and diverse set of markets. Topics include: * The features, attributes, and return profiles of a managed futures strategy that might lead an investor to consider adding it to a multi-asset portfolio. * Favorable and challenging market conditions for a managed futures strategy. * The human factor driving the existence and persistence of trends. * How quantitative models combine signals to identify trends and assess conviction, leading to trade implementation.

19. Nov. 202536 min