

The Derivative
RCM Alternatives
Welcome to The Derivative by RCM Alternatives, where we dive into what makes alternative investments go, analyze the strategies of unique hedge fund managers, and chat with interesting guests from across the investment world. Hosted by RCM Managing Partner, Jeff Malec, join us to take a ride through the world of alternative investments.
Episodes
Mentioned books

Mar 26, 2026 • 1h 18min
OpenSnow’s Joel Gratz built a Pod Shop for Powder Days: the PMs are Meteorologists and the Returns are Faceshots. Send It!
Joel Gratz, meteorologist and founder of OpenSnow who turned a local snow newsletter into a global powder‑forecasting platform. He talks about building a subscription forecasting product, why local terrain and wind make neighboring mountains behave differently, limits of long‑range forecasts, how passes change crowd dynamics, and what makes Utah, Japan, and BC unique for powder.

Mar 12, 2026 • 1h 11min
Drone Wars, Space Intelligence, and AI-powered Defense Tech Investing with Ian Winer of Center15 Capital
Ian Winer, West Point grad and founder of Center15 Capital, invests in growth-stage defense and national security tech. He discusses how cheap one-way attack drones strain air defenses. He explores layered counter-drone tools like jammers, directed energy, and high-powered microwaves. He also covers space-based sensors and AI speeding intelligence, plus investing in autonomy, RF detection, and cyber hardening.

Mar 5, 2026 • 1h 29min
SuperCars, Salad, and Sumo Wrestlers: Inside OneRiver’s Systematic Risk Mitigation Playbook with Patrick Kazley
Patrick Kazley, an investment pro at OneRiver who builds systematic long-vol and defensive strategies, explains combining long volatility, convexity, trend following, and capital-efficient constructions. He discusses crisis shapes, calendar rebalancing vs. thresholds, changing volatility microstructure, and how metaphors like F1 brakes and soup vs. salad illuminate portfolio defense.

Feb 26, 2026 • 55min
Carry, Calendar Spreads, and Climate: Bruce Sinclair on the Future of Grain Markets
Bruce Sinclair, a South African grain spread trader and founder of Brent Trading, talks from his off-grid game farm. He covers carry trades and calendar spreads, why spreads can reduce risk, strict 10% drawdown rules, global grain drivers like Brazil and China, and how climate and geopolitics are reshaping seasonality and future volatility.

Feb 19, 2026 • 1h 4min
Going Nuclear: How Uranium is Powering Portfolios with Trevor Hall & Justin Huhn
Trevor Hall, mining and commodities commentator, and Justin Huhn, uranium analyst, unpack why uranium and nuclear power matter now. They discuss AI-driven electricity demand and hyperscalers, the unique uranium supply–demand dynamics, reactor life extensions, SMRs and advanced designs, geopolitics and supply chains, and what could spark the next major move in uranium markets.

Feb 12, 2026 • 56min
Defensive Equity, Flex Options, and the Future of Quant at PGIM
Lorne Johnson, multi-asset researcher with global quant experience, and Devang Gambhirwala, veteran quantitative equity and options specialist, dive into options-based ETFs, flex options and defined‑outcome products. They discuss liquidity and execution in option markets. They also cover AI’s role in quant, macro risks like fiscal imbalances, and gold’s renewed portfolio role.

Jan 29, 2026 • 1h 7min
Timing, Triggers & Transparency: Inside Potomac Funds’ Tactical Investing Playbook with Dan Russo
Dan Russo, Potomac Funds’ Portfolio Manager and CIO known for tactical, rules-based quantitative strategies. He talks trading timing over buy-and-hold, focusing on max drawdown and behavioral risks. He outlines Potomac’s trend, breadth, and intermarket three-lens model. He also covers cash as a diversifier, converting technical rules into systems, and why execution and futures matter.

Jan 22, 2026 • 1h 8min
From Venezuelan Oil to Nuclear Frontiers: Navigating Resource Markets with Robert Mullin
Robert Mullin, founder of Marathon Resource Advisors, offers a sharp perspective on the complexities of Venezuelan oil production and its market implications. He discusses the logistical and political hurdles that prevent a surge in output, challenging the notion of 'world's largest reserves.' Mullin also delves into the dynamics of sanctions, the role of service companies like Chevron, and the future of resource investments amid shifting commodity cycles. Plus, he explores opportunities in uranium and the geopolitical stakes involved in Arctic resources.

Jan 15, 2026 • 60min
The 2025 market review draft, talking Bears, Crypto Cycles & AI Paradoxes with David Dziekanski & Zed Francis
Kick off the first episode of 2026 with a fun, draft-style market showdown as host Jeff Malec is joined by David Dziekanski and Zed Francis on The Derivative. Using funky categories and plenty of hot takes, the trio drafts everything from “wait, that’s still a thing” trades to market overreactions, false idols, and narratives that didn’t survive the year. Along the way, they break down crypto cycles, volatility, cash, and derivatives, mixing sharp insight with dry humor and real debate. It’s a loose, fast-paced way to start the year, packed with strong opinions, laughs, and a few bold predictions. SEND IT!Chapters:00:00-02:35= Intro02:36-12:50 = New year reflections, Market Trends and Predictions, Crypto Cycles and The Diminishing importance of Jobs12:51-20:55= Unsophisticated Investment Strategies, Market overactions and consequences & Correlations in the market20:56-35:52= Desensitized to Major Events, Future outlooks, Market Indicators, Volatility Trends & Dogs that didn’t Bark - Inflations/Tariffs35:53-43:28= Are We Sure this is Good? The Affordability Crisis and The A.I. Paradox43:29-48:03= Best Meals & Entertainment of 202548:04-59:41= Looking forward: Predictions for 2026From the episode:David on the Derivative: Stacking Assets: Bitcoin, Gold, and the Future of Portfolio Diversification with David Dziekanski of Quantify FundsZed on the Derivative: Protecting the Portfolio not with Long Vol, but with Long Gamma, with ConvexitasThe Polymath Pod: Jason Buck and Zed Francis talk rates, vol, and cheeseburgers?!WTF is LDI, and What’s working in Vol Trading with Zed Francis of ConvexitasFollow along on LinkedIn with David and Zed and be sure to check out their websites quantifyfunds.com and convexitas.com for more information!Don't forget to subscribe toThe Derivative, follow us on Twitter at@rcmAlts and our host Jeff at@AttainCap2, orLinkedIn , andFacebook, andsign-up for our blog digest.Disclaimer: This podcast is provided for informational purposes only and should not be relied upon as legal, business, or tax advice. All opinions expressed by podcast participants are solely their own opinions and do not necessarily reflect the opinions of RCM Alternatives, their affiliates, or companies featured. Due to industry regulations, participants on this podcast are instructed not to make specific trade recommendations, nor reference past or potential profits. And listeners are reminded that managed futures, commodity trading, and other alternative investments are complex and carry a risk of substantial losses. As such, they are not suitable for all investors. For more information, visitwww.rcmalternatives.com/disclaimer

Dec 11, 2025 • 4min
Signing Off for 2025: The Derivative Returns in January!
Jeff Malec wraps up the season with a lively look back at the year's market highlights, including tariff turmoil and rate fluctuations. He reflects on memorable conversations with guests like maritime expert Sal Mercongliano, discussing the tragic story of the Edmund Fitzgerald. Notable insights from trading legends Harold DeBoer and Grant Jafarian add depth to the recap. Jeff also shares the challenges of solo podcasting and hints at exciting new episodes returning in January.


