Main Day 1 | June 10th
- How can you adjust portfolio asset allocations in response to global policy changes, ensuring resilience and adaptability?
- How can you integrate geopolitical risks into asset allocation strategies for fixed income portfolios?
- How can you manage market volatility while maintaining liquidity and protecting against default risks in frontier and emerging markets?
- How can you capitalize on corporate vs. sovereign bond opportunities to maximize returns amid market and currency fluctuations?
- How to leverage on-the-ground insights and network advantages to enhance risk management and identify high-return potential investments?
Check out the incredible speaker line-up to see who will be joining Matthew.
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