Multi-Strategy Investing
Multi-strategy managers are favored for their ability to navigate various geographies and asset classes. A balanced approach is emphasized, with a preference for meaningful allocations per manager to avoid "manager creep." The discussion highlights the importance of diversification across public and private investments while maintaining flexibility to adapt to market cycles.In this clip
From this podcast

Capital Allocators – Inside the Institutional Investment Industry
Tom Lenehan – Perpetual Thinking at Rockefeller University (Capital Allocators, EP.04)
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