Event detail

Name: Buy-side Risk Europe 2017

From: 23 Mar 2017

To: 23 Mar 2017

Address: The Montcalm Marble Arch, London, United Kingdom

Organizer: Risk

Key speakers: Erik Vynckier, Chief Investment Officer, Insurance (EMEA) Marcin Kacperczyk, Professor of Finance, Imperial College of London Patrick Trew, Chief Risk Officer, CQS Sameer Verma, Head of Risk Management, CHEYNE CAPITAL MANAGEMENT Julien Cuisinier, Co-Head Investment Risk, HENDERSON GLOBAL INVESTORS Andrew Milligan, Head of Global Strategy, STANDARD LIFE Bernardo Barreto, former Portfolio Manager and Co-Head of Asset Allocation, JETSTONE ASSET MANAGEMENT Philip Best, Chief Risk Officer, BARCLAYS WEALTH Daniel Blamont, Head of Investment Strategy, PHOENIX GROUP Mirko Cardinale, Head of Multi Asset Allocation, USS INVESTMENT MANAGEMENT Chrystelle Charles-Barral, Head of Risk, NEUBERGER BERMAN Dario Cintioli, Managing Director, STATPRO Jean-Charles Delcroix, Chief Compliance Officer, AMUNDI ASSET MANAGEMENT Adam French, Co-founder and Chief Executive Officer, SCALABLE CAPITAL Louis Gargour, Chief Investment Officer, LNG CAPITAL Alberto Herranz, Head of Risk Analysis, ALLFUNDS BANK Pasi Hyttinen, Head of Fixed Income and Portfolio Manager - Europe, VANGUARD ASSET MANAGEMENT Richard Jones, Head of Investment Risk Analysis, AXA Remi Kamiya, Head of Funds Risk, SCHRODERS Odi Lahav, Chief Executive Officer, ALLENBRIDGE Trevor Leydon, Head of Portfolio Construction and Risk Multi Assets, AVIVA INVESTORS Yoram Lustig, Head of Multi-Asset Investments UK, AXA INVESTMENT MANAGERS Enrico Massignani, Head of Risk Management, GENERALI INVESTMENTS EUROPE Prasun Mathur, Head of Shareholder Investments, Aviva UK & Ireland Life Janine Menasakanian, Head of Wealth, VANGUARD Peter Mennie, Global Head of Investment Risk and Quantitative Analytics, MANULIFE ASSET MANAGEMENT... Francois Oustry, Head of Investment Solutions Group, MILLENNIUM GLOAL INVESTMENTS Rani Piputri, Senior Portfolio Manager, SAEMOR CAPITAL Boryana Racheva-Iotova, Global Head of Risk, BISAM Alain Robert-Dautin, Head of Risk Management, SYCOMORE ASSET MANAGEMENT Antonello Russo, Risk and Quantitative Analysis Group, BLACKROCK Patrik Safvenblad, Partner and Chief Investment Officer, HARMONIC CAPITAL Martin Toyer, Chief Technology Officer, NUMERIX Tørres Trovik, Chief Investment Officer, STOREBRAND Dan Veiner, Head of Fixed Income Trading, BLACKROCK Darell Yawitch, Chief Risk Officer, AHL

Web page: http://events.risk.net/buysideriskeurope

Pricing: - variable, free for Buy-Side firm

Description: Asset managers are emerging as effective liquidity providers in credit markets, and where dealers have seen their price discovery mechanisms eroded by regulations and changes in market structure, the most competitive pricing is now coming from the buy-side.
Buy-side Risk Europe is a leading asset management conference in EMEA and will return to London this March. Providing vital regulatory updates in this new trading environment the conference agenda will demonstrate how the buy-side are moving away from outdated methods to overhaul their risk frameworks and approach risk management proactively.


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