
The Science of Outperformance: Dual Momentum Explained
Failed to add items
Sorry, we are unable to add the item because your shopping cart is already at capacity.
Add to basket failed.
Please try again later
Add to Wish List failed.
Please try again later
Remove from Wish List failed.
Please try again later
Follow podcast failed
Unfollow podcast failed
-
Narrated by:
-
By:
About this listen
✅ Gary Antonacci’s investment journey and the origins of momentum investing
✅ Understanding absolute vs. relative momentum and why they matter
✅ The dual momentum strategy: mechanics, benefits, and real-world results
✅ Common pitfalls and behavioral challenges in rule-based investing
✅ Practical advice for investors looking to implement momentum strategies
In today’s episode, we’re thrilled to sit down with Gary Antonacci, a true pioneer in the field of momentum investing and the mind behind the acclaimed Dual Momentum strategy. With over four decades of experience and an MBA from Harvard, Gary has seen it all—from the depths of bear markets to the excitement of bull runs.
We kick things off by exploring Gary’s own investment journey, including how he weathered turbulent markets and why he became fascinated with momentum as a market phenomenon. Gary breaks down the difference between absolute and relative momentum, explaining how each plays a crucial role in building robust, adaptive portfolios. You’ll learn how the Dual Momentum approach combines these two forces, allowing investors to capitalize on strong trends while managing risk and avoiding the biggest market drawdowns.
But it’s not just theory—Gary shares practical insights into how these strategies have performed historically, including their resilience during volatile periods and their ability to outperform traditional buy-and-hold methods. We also discuss the psychological hurdles investors face, why so many struggle to stick with rule-based strategies, and how to avoid the most common behavioral traps.
Whether you’re new to momentum investing or looking to refine your approach, Gary’s advice is both actionable and inspiring. He highlights the importance of diversification, sticking with your chosen models, and always keeping an open mind to new research and techniques. By the end of this episode, you’ll have a clear understanding of what makes Dual Momentum so powerful—and how you can start applying these principles to your own investment journey. Get ready to rethink what’s possible in your portfolio!
powered by ETFatlas.com
What listeners say about The Science of Outperformance: Dual Momentum Explained
Average Customer RatingsReviews - Please select the tabs below to change the source of reviews.
In the spirit of reconciliation, Audible acknowledges the Traditional Custodians of country throughout Australia and their connections to land, sea and community. We pay our respect to their elders past and present and extend that respect to all Aboriginal and Torres Strait Islander peoples today.