Mark Melin is an alternative investment practitioner whose specialty is recognizing the impact of beta market environment on a technical trading strategy. A portfolio and industry consultant, wrote or edited three books including High Performance Managed Futures (Wiley 2010) and The Chicago Board of Trade’s Handbook of Futures and Options (McGraw-Hill 2008) and taught a course at Northwestern University's executive education program.
This was just uploaded, but appears to be dated - if are not up to date - the latest on Herbalife - Herbalife Ltd. (HLF) Plans Expansion In China
Published... Read More
Substantial investments in the market's best business is the best way to describe the investment strategy of Cook & Bynum Capital Management.
Cook & Bynum is an unusual fund because, unlike... Read More
FOX Business Network’s (FBN) Charlie Gasparino and Courtney Crawford report that “One of Wall Street’s top corporate restructuring experts is threatening to go to war with investment banking titan... Read More
Muddy Waters' Carson Block pitched a new short candidate at the Value Investing Congress that is being held in New York. While Block did not spend much time on this... Read More
As the Greek government engages in its first public market bond sale in three years today, the debt environment around larger Europe appears steady at present. The recent S&P... Read More
Vermillion LLC, a New York based hedge fund, is down 7.95% YTD, following another plunge of 1.07% during the month of August, according to information obtained by ValueWalk. Notwithstanding,... Read More
GreenWood Investor commentary for the third quarter ended September 30, 2019.
Q3 2019 hedge fund letters, conferences and more
Dear GreenWood Investor:
It was a hectic quarter, and an even more eventful... Read More
Amidst media reports speculating that Greek banks could exhaust their residual cash buffers in the next few days, Goldman Sachs anticipates the banks’ cash buffers could come under strain... Read More