Main Day 1 - June 13th
- How can you keep generating returns in the inherent macro uncertainty and what does it mean for outright duration or credit risk?
- How are high inflation and tighter monetary policy shaping 2024 investments and how can you create a resilient portfolio?
- What are the potential opportunities to re-enter bond market in 2024 and which fixed income products will come out as the winners?
- How can you best position portfolios that are focused on high conviction thematic such as national security, climate resilience, innovation, and sustainability?
- What are the opportunities to diversify your strategies and what are the additional risks to face?
Check out the incredible speaker line-up to see who will be joining Alvin.
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