This podcast features an interview with David Zorub, founder of Parsifal Capital Management, a $1.5 billion hedge fund. The conversation covers Parsifal's investment strategy over the past six years, focusing on its concentrated, opportunistic approach across equities, credit, and event-driven situations. Zorub discusses the challenges of fundamental investing in a volatile market, emphasizing the importance of identifying and exploiting market inefficiencies, and the firm's adaptation to the dominance of large-cap tech stocks. He highlights the importance of a robust research process and risk management, illustrating his points with examples such as the firm's investment in Shark Ninja. The interview concludes with Zorub's outlook for the future, expressing optimism about emerging opportunities while acknowledging potential risks.