Asset Allocation for Insurance APAC 2013

  • 24-26 Jun 2013
  • Marco Polo Hong Kong Hotel

Description

Topics
  • Practical asset allocation for insurance maturities
  • Profitable investments to optimize your balance sheet performance
  • The impact of Solvency II on the APAC investment landscape
  • Alternative asset opportunities
  • Maximizing portfolio performance in a inflation and low interest environment
  • Restructuring funds for ensuring transparency
Who should Attend

Heads, Directors and Managers from:

  • Asset Management, Fund Management and Hedge Funds
  • Insurance and Reinsurance companies

Past Events

Important

Please, check "Asset Allocation for Insurance APAC" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance
Services: Insurance

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