Main Day 1 - June 13th
- What is the new normal for portfolio managers in the current yield environment?
- How can you best recognize potential risks affecting your portfolio and best prepare for different scenarios?
- What tools do you have available to best deal with volatility and protect your portfolio against it?
- How do you prepare for different risk scenarios and handle the moment when one of those scenarios becomes reality?
- What are the pathways to making alpha and how do you select the right one from a portfolio management perspective?
Check out the incredible speaker line-up to see who will be joining Eric.
Download The Latest Agenda