Alternative investment for the life insurance and pension fund industry
London
27 & 28 November 2008
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Course highlights:
- An overview of the alternative investment market
- Making themost of new investment opportunities
- Comparing alternatives
- Separation of alpha and beta returns
- Assessing multi asset strategies
- Considering commodity investments
Course dates & venues
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LONDON 27 & 28 November 2008 |
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Course tutors
LONDON
Stephan Breban
CITY CAPITAL PARTNERS
Sergey Bubnov
RENAISSANCE CAPITAL
Michael Flood
Managing Director, TD CAPITAL
Alain Kerneis
Executive Director, GOLDMAN SACHS
Mehrin Karim
Director of Global Equities & Derivatives Solutions, SOCIETE
GENERALE CORPORATE & INVESTMENT BANKING
Jaakko Karki
CEO & CIO, BLUEWHITE ALTERNATIVE INVESTMENTS
Carl Robert
Portfolio Manager, CAISSE DE DEPOT ET PLACEMENT DU QUEBEC
Guy Wengraf
Hedgefund Analyst, ERSTE GROUP AG
Learning Outcomes
- Defining alternative investments
- Evaluating the trends in the take up by pension funds
- Replicating beta returns and identifying alpha returns
- Benefits fromalpha-beta separation to investors
- Discussing active commodity investments
- Benefits of holding a really diversified portfolio of investments
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