06 Apr 2026
34m

E341: Why VC is Changing Forever ($150 Billion LP)

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How I Invest with David Weisburd

The discussion centers on venture capital investment strategies, particularly regarding consensus risk and bubble dynamics. It explores how to differentiate between a hot sector and a bubble, highlighting the importance of assessing how far along a bubble is rather than simply asking if one exists. The guest, provides insights into HarbourVest's approach to venture capital, including their multi-manager model, direct investing, and secondary investments, as well as the firm's approach to diversification, emphasizing the role of their quantitative investment sciences team. The conversation also covers continuation vehicles, their increasing prevalence, and best practices for investing in them, as well as the shift towards evergreen funds and their potential impact on the private equity industry.

Outlines

Part 1: Market Risks, Bubbles, and Cycles

Part 2: HarbourVest Overview and Strategic Tools

Part 3: Secondary Markets and Continuation Vehicles

Part 4: Portfolio Construction and Diversification

Part 5: Sponsorships and Market Tools

Part 6: Evolution of the Venture Asset Class

Part 7: Growth, Evergreen Funds, and Future Outlook

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