Quantifi's Annual London Conference is designed to facilitate discussion amongst delegates from banks, asset managers, hedge funds, clearing houses and industry bodies on how to successfully address the competing challenges arising from regulatory and market forces. Join senior practitioners from across the industry for an afternoon of unique insights and sharing of best practices.
Registration is open for Quantifi's 7th annual London risk conference. Register early as places are limited!
Speakers and Agenda
The Rise of Fixed Income ETFs (Buy-side panel)
In recent years there has been a significant growth in the fixed income exchange-traded funds (ETFs) market and an increasing number of investors are now finding a role for them in their portfolios. The buy-side panel will explore the drivers behind this trend and the challenges it poses for investors.
Aanand Venkatramanan, ETF Investment Strategies, Legal & General Investment Management
Brett Olson, Managing Director, Head of FI iShares EMEA, BlackRock
Tom Stephens, Head of International ETF Capital Markets, J.P. Morgan Asset Management
*more speakers to be announced
LIBOR - Navigating the Transition (Sell-side panel)
The interest rate benchmark LIBOR is expected to cease after end-2021. Firms must transition to alternative rates before this date. The sell-side panel will explore what the transition means for different markets and the biggest challenges remaining for firms facing the transition.
Carlo Castellana, Executive Director - Valuation Control Group, J.P. Morgan
*speakers to be announced
81 Coleman Street
London, EC2R 5BJ
Registration 4 pm
Conference 4:15 pm - 6:30 pm
Networking Reception 6:30 pm