Qwoted is a free expert network: we help reporters connect with experts & we help those same experts build relationships with top reporters.
Event Date | Sun Sep 17 EDT - Tue Sep 19 EDT (about 7 years ago) |
Location |
The Peabody Hotel
149 Union Avenue, Memphis, Tennessee 38103, United States of America |
Region | Americas |
After a lengthy pause, the Fed’s efforts to “normalize” the funds rate got back on track last December. But major uncertainties remain with respect to the pace of tightening and how market rates along the yield curve will react. This seminar will focus on strategies to optimize investment portfolio performance as we move through this changing environment. Join us in September as we explore how to manage risk and return through uncertain markets.
Chris Low,
Chief Economist
Steve Twersky,
Executive Vice President and Manager,
Portfolio Strategies Group
Abigail Urtz,
Senior Vice President,
Municipal Credit Strategist
Ben Clark,
Senior Vice President,
Portfolio Strategies Group
Tim Robinson,
Senior Vice President,
Mortgage Strategies Group
Al Farlow,
Senior Vice President and Manager,
ALM Advisors and Derivative Products Group
Tim Robinson,
Senior Vice President,
Mortgage Strategies Group
Alexis Vilimas,
Vice President,
Mortgage Strategies Group
Bryant Bean,
Financial Analyst,
Portfolio Strategies Group
Nicole Crawley,
Vice President,
Fixed Income Marketing Analyst
Dan Bruzzo,
Senior Vice President and Manager,
Credit Strategies Group
Sophia Kearney-Lederman,
Economic Analyst
Jerry Hubbard,
President,
FTN Financial Capital Assets Corportation
Jim Vogel,
Executive Vice President and Manager,
FTN Financial Capital Markets
Walt Schmidt,
Senior Vice President and Manager,
Mortgage Strategies Group
Gray Bowles,
Senior Vice President,
Portfolio Strategies Group