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School of Investment Management

By:

Kenya

08 - 11 Sep, 2014  4 days

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Course background
The last few years have seen a number of forces re-shaping the global investment management industry. Equity volatility, new fixed income products, the growth of hedge funds, commodities and real estate – to name but a few – have contributed to dramatic changes in investor preferences, investment styles and asset allocation. Traditional analytical frameworks and performance measures must now be used together with a new group of tools and metrics to interpret data, trends and performance in this new environment and for newer asset classes.
Join us for this intensive 4-day School which will give you the in-depth information you need to advance your investing skills. On completion of  the course you will be ready to implement your new skills into real-world investing activities, with the ultimate objective of increasing returns, reducing risks and attracting (and retaining) investors.

Course highlights include:

  • Devise asset allocation strategies for a post-credit crunch environment
  • Alpha analysis and information ratios in theory and practice
  • Learn and apply the principles of post-modern portfolio theory
  • Construct superior equity portfolios using behavioural finance theory
  • Reassess hedge fund investing in light of recent events
  • Learn how to implement portable alpha strategies via practical applications
  • Assess the opportunities offered by emerging alternative assets
  • Develop frameworks to accommodate real and tangible assets in portfolios

Who should attend?

  • Portfolio / fund / asset managers
  • Investment analysts / advisors / strategists
  • Private bankers / investors
  • Heads of investment
  • Pension fund/ trustee managers
  • Regulators, auditors and actuaries
  • Securities sales people
Nairobi, Kenya Sep 08 - 11 Sep, 2014
£3,345.00
(Convert Currency)

+44 (0)207 779 8543