In this episode, Andrew talks about managing leverage in NBA and finding the right balance for your lineups.
Watch on YouTube: https://youtube.com/live/scPd-7bjX6Y
00:00 Intro
01:26 What actually causes one lineup (with the same ceiling projection) to have a much higher ROI standard deviation, and how can I build lineups that maximize that factor?
13:35 In a less variant sport like NBA, is there still a maximum amount of leverage you like to have on a player?
18:36 Will you be able to go with late swap from a basic to an advance way to do and setup?
23:33 What is the most efficient or effective ways to fill your portfolio besides simply changing exposures to fill your requirements?
29:27 In NBA how do you make it so it doesnt use a Markkanen if the lineup also has Flippowski?
33:05 Do you always trust that projs/ownership refreshes automatically when switching between slates and/or builds?
38:13 What's the best way to build an NBA single entry lineup?
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