Name: Buy-Side Risk Europe 2019
From: 13 Mar 2019
To: 13 Mar 2019
Address: The Waldorf Hilton Hotel, London, United Kingdom
Key speakers: Lindsey Matthews, Head of Quant R&D and Client Development, UBS Delta Darrel Yawitch, Chief Risk Officer, AHL Julien Cuisinier, Co-Head Investment Risk, HENDERSON GLOBAL INVESTORS Bernardo Barreto, former Portfolio Manager and Co-Head of Asset Allocation, JETSTONE ASSET MANAGEMENT Remi Kamiya, Head of Funds Risk, SCHRODERS Prasun Mathur, Head of Shareholder Investments, Aviva UK & Ireland Life Francois Oustry, Head of Investment Solutions Group, MILLENNIUM GLOAL INVESTMENTS Antonello Russo, Risk and Quantitative Analysis Group, BLACKROCK Brian Tomlinson, Global Fixed Income Portfolio Manager, ALLIANZ GLOBAL INVESTORS Elena Manola-Bonthond, Chief Investment Officer, CERN PENSION FUND Guy Goughlan, Chief Risk Officer, UNIVERSITIES SUPERANNUATION SCHEME (USS) Nasreen Kasenally, Chief Risk Officer EMEA, UBS ASSET MANAGEMENT James Munro, Chief Technology Officer, MAN AHL Richard Fox, Head of Markets Policy, FINANCIAL CONDUCT AUTHORITY Isabelle Lago, Managing Director and Chief Global Multi-Asset Strategist, BLACKROCK Guy Miller, Chief Market Strategist & Head of Macroeconomics, ZURICH INSURANCE GROUP LTD Berkan Sesen, Quantitative Researcher and Portfolio Manager, JP Morgan Asset Management Natasha Naidoo, Deputy Chief Risk Officer, OLD MUTUAL Henrik Wijkander, Head of Investment Ris, PHOENIX Ashan Ramakrishnan, Head of Investment Risk and SIRO (EMEA), BNY MELLON INVESTMENT MANAGEMENT Seb Smodis, Vice President and Global Head of Liquidity Risk Management, STATE STREET GLOBAL ADVISORS Esperanza Cerdan, Chief Risk Officer UK & Head of Enterprise Risk Management, DWS Stéphane Janin, Head of Global Regulatory Development, AXA Investment Managers Michael Calamito, Head of Global Business Continuity Management, FIDELITY INTERNATIONAL Alan Langworthy, Executive Director for Multi-Asset Research, AXIOMA Kai Hirschen, Vice President for Portfolio Manager Systematic Equity, ALLIANZ GLOBAL INVESTORS
Web page: http://events.risk.net/buysideriskeurope
Pricing: - variable
Description: Bringing together: the leading conference for risk professionals and investment strategists from across the buy-side industry (institutional investors, investment and asset management firms, hedge funds, pension funds, insurance firms).
Hear from and engage with: senior professionals and heads of the largest and most innovative buy side firms. Against a backdrop of political uncertainty and volatile markets, industry leads share best practice and solutions to overcome current industry challenges.
Stay ahead and beat the market: The prospect of quantitative tightening and market liquidity is top of everyone’s agenda and, in an era of digital transformation and technological disruption, buy side firms need to remain reactive and one step ahead of the rest. This conference addresses the key industry challenges from model risk techniques, liquidity stress testing and scenario analysis through to waving farewell to Libor, to better understand the complexities of market risk and improve investment decisions. By hearing first hand practical industry advice from leading financial firms who are responding to a volatile market and preparing for the future, this is a must attend conference for any investment and risk professional.
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