Tag Archives: Macroeconomic risk

Navigating the Markets in a Year of Transition

Elizabeth Corley described 2017 as a year of transition as she shared her outlook on the economy, geopolitics, fiscal and monetary policy, and their implications for global investors. And while she characterized the environment as challenging and struck a cautious tone, she also offered hope and some words of advice for beleaguered active managers. Read More

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Manager Selection and Asset Allocation: Practitioner Workshop

Delegates attending the Research Foundation Workshop for the Practitioner, held in advance of the 67th CFA Institute Annual Conference, can learn about investment manager selection and asset allocation. Read More

Posted in Event Details, Investment Topics, Performance Measurement & Evaluation, Portfolio Management, Quantitative Methods, Risk Management, Speakers | Tagged , , , | Leave a comment