陈博士 / 投资ABC
陈博士 appears in 166.普通人能从机构投资者身上学到什么?|串台投资ABC as the [[InvestmentABC|投资ABC]] speaker who explains market-counterparty logic, institutional data teams, and the return formula of market return plus alpha minus costs plus or minus behavior. The source says he previously worked at a U.S. quantitative fund that built a large data team, making his examples part of the episode’s Institutional Information Advantage / 机构信息优势 branch.
His role is to make professional investing less mystical and more structural. Short-term entries, exits, stop-losses, and take-profits are treated as forecasts against the market; ordinary investors should therefore ask whether they have an edge, cost advantage, process, and Portfolio Suitability before playing that game.
Connections
- 投资ABC / Investment ABC and [[AmyInvestmentABC|Amy]] - podcast context and co-speaker.
- Institutional Information Advantage / 机构信息优势, Investment Risk Management, and Passive Investing - concepts sharpened by his examples.
- Fund Liability Matching and Investment Behavior Coaching / 投资行为陪伴 - fund-holder and behavior-support themes he discusses.