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Event Date |
Tue Jun 27 HKT (over 7 years ago)
In your timezone (EST): Tue Jun 27 12:00am - Tue Jun 27 12:00am |
Location |
Hong kong, Hong kong
1 Harbour Road, Wanchai Hong Kong |
Region | APAC |
The buy-side in Hong Kong and across the Asia-Pacific region is and continues to be challenged and stretched to generate returns and ensure their porfolios are not inefficiently exposed to risk. In the current environment of low interest rates, investors are looking for opportunities beyond the orthodox geographies, asset classes, strategies and data management. Accessing alpha and lowering costs is key and as a result, the investment opportunities are shaping to become ever more complex and contain risks that were not previously part of the consideration.
Hugh Graham
Director of Special Projects, Group Investment Department, AIA Group
Angelina Lai
Risk Actuary Head, HSBC Insurance
Gordon Tsui
Executive Director & Head of Fixed Income, Fixed Income Investment Department, TAIKANG AM
Jim Veneau
Head of Fixed Income, Asia, AXA IM
Stephen Pau
Chief Investment Officer, Hefeng Family Office
Martin Toyer
Vice President, NUMERIX
Tom Zhu
General Manager, Investment Management Department, CHINA TAIPING LIFE INSURANCE
Derek Mok
Chief Investment Officer, CONVOY ASSET MANAGEMENT
Mark McFarland
Chief Economist, UBP
Binay Chandgothia
Portfolio Manager, PRINCIPAL PORTFOLIO STRATEGIES
Dragon Tang
Professor of Finance, HKU
Qiong Wu
Executive Director, Co-Head of Fixed Income Research, BOCI
Tim Shen
Chairman, Look's Asset Management
Presentation Sponsor:
Numerix
Associate Sponsor:
S&P Global Market Intelligence