How to learn MM style investing
I’m currently a student and have always been passionate about investing, and have really good performance, but one of my major flaws has always been my large drawdowns (think up to 3 percent in one day). I’ve been reading about multi managers, and want to learn more about how to invest in a market neutral strategy, factoring, statistical portfolio analysis, and all the other things these funds are doing , to improve personably and to learn to maybe work at a Hf some day. I was wondering if anybody had any tips, rescources, or advice for how to learn this style of investing? Thanks