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Description

In this episode, 42 Macro's Darius Dale and Cem Karsan of Kai Volatility Advisors discuss market structure, interest rate dynamics, and innovative portfolio strategies for risk-adjusted returns. Cem introduces Kai Wealth, a non-correlated wealth advisory program that avoids traditional duration and credit risks, leveraging options-based yield stacking and multi-strategy hedge fund approaches to achieve superior risk-adjusted returns. They highlight structural risks in bonds and equities due to rising interest rates and inflation, emphasizing the need for investors to move beyond traditional 60/40 portfolios. The conversation underscores the importance of diversification and innovation in navigating today’s complex market environment.