Buy-Side Risk Europe 2017

  • 23 Mar 2017
  • The Montcalm London Marble Arch, United Kingdom

Description

Topics
  • The future of investing
  • Efficient risk taking by investors
  • Risk makeover in multi asset class portfolios
  • Market infrastructure and its implications for systematic investors
  • Investing in private debt as an emerging theme for insurance companies
  • New flavors of smart beta and risk premia
  • Stress to impress the regulators and investors after Brexit
Who should Attend
  • Portfolio Manager
  • Risk Manager
  • Chief Investment Officer
  • Chief Risk Officer
  • Head of Multi-Asset Class Investments
  • Investment Risk Manager
  • Head of Trading
  • Chief Executive Officer
  • Policy, Supervision, Audit and regulatory officers
  • Economists
  • Quants
  • HFT providers
  • Scenario Analysis specialists
  • Heads of Stress Testing
  • Consultants
  • Political risk experts

Past Events

Important

Please, check "Buy-Side Risk Europe" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance
Government & Global Issues: Economy, International Relations

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