Episode description

Jeremiah Lowin is probably the smartest guy I know, and that is saying something. He is an expert in the fields of statistics, artificial intelligence, and risk management—among many other things.  He is currently the Director of Risk Management for a private investment firm in the New York area, but has spent years working with machine learning and AI.  This conversation is broken up into two parts.  In the first part, we explore artificial intelligence, machine learning, and models.  Then we shift to what risk means in a portfolio and how it can be managed or at least redistributed (which starts around 40 minutes into the conversation).  Please enjoy!   For comprehensive show notes on this episode go to investorfieldguide.com/lowin/ For more episodes go to InvestorFieldGuide.com/podcast.  Sign up for the book club, where you’ll get a full investor curriculum and then 3-4 suggestions every month at InvestorFieldGuide.com/bookclub Follow Patrick on twitter at @patrick_oshag
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