Adapting to the New Volatility Regime

Description

This course is designed to teach financial professionals how to adapt to the new volatility regime, using market timing and risk management strategies. Following the 2018 re-awakening of volatility, many are concerned with their strategy performance during this new uncertain environment, underpinned with ongoing market fragility.

What you will learn

  • Learn about the meaning of volatility, in both theoretical and practical market terms
  • Gain a deeper understanding of the 2018 re-awakening of volatility and how it has reshaped a new market regime and investor psychology
  • Benefits from latest market timing and risk management strategies
  • Re-position a value offering with client relations and portfolio performance

Further information

Euromoney Learning
Provider:
Euromoney Learning
Duration:
4 Hours
Locations:
Amsterdam, Barcelona, Dubai, Geneva, Hong Kong, Indonesia, Istanbul, London, London , Miami, Miami Beach, Florida, Milan, New York, Paris, Paris , Riyadh, Sentul City, Singapore

Contact Information

Euromoney Learning

4 Bouverie Street
London
EC4Y 8AX

Credentials

Locations