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Pavel Kycek is a 20-year quant trader managing $20M+ AUM, using systematic strategies for institutions and high-net-worth clients.
In this episode, he breaks down the surprisingly simple strategies professionals actually use, the 4 core trading approaches behind most setups, where retail traders still have an edge, and why diversification and rebalancing may be the closest thing trading has to a “holy grail.”
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🎙 Guest:
https://www.linkedin.com/in/pavelkycek/
https://twitter.com/PKycek
https://robuxio.com/
🎙 Host: Words of Rizdom
https://youtube.com/@wordsofrizdom
https://instagram.com/wordsofrizdom
https://twitter.com/wordsofrizdom
https://www.instagram.com/realriziqbal
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Timestamps:
00: 00 – Pavel Kycek: 20-Year Quant Trading Principles
05: 40 – Choosing The Right Market, Timeframe & Strategy
11: 53 – How Retail Traders Find A Real Trading Edge
22: 22 – Why Profitable Trading Edges Eventually Decay
34: 58 – The 4 Core Trading Approaches Explained
43: 07 – Breakouts, Mean Reversion & Trend Following
55: 24 – The Best Strategies For Stocks, Forex, Crypto & Commodities
1: 02: 30 – Portfolio Trading, Rebalancing & The “Holy Grail”
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Disclaimer:
The content on Chart Fanatics is for informational and educational purposes only and should not be considered financial, investment or trading advice. I am not a licensed financial advisor, and the strategies, opinions, and commentary shared are based on personal experience of the respective guests. We are not personally affiliated with any of the guests featured in our episodes. The views expressed by our guests are their own and do not necessarily reflect the opinions or endorsements of Chart Fanatics.
Trading and Investing involves risk, and you should always do your own research or consult with a qualified financial professional before making any investment decisions. You are solely responsible for your financial decisions. This channel and its creator are not liable for any loss or damage arising from the use of information presented in videos.