Catherine Pollock (Head of Sales and Investor Relations, 36 South Capital Advisors LLP)
The mysterious economics of options and why volatility is reawakening
Erik Norland
(Senior Economist, CME Group)
Challenges and opportunities presented by low volatility and negative interest rates
Manager: Pierre de Saab
(Partner, Dominicè & Co - Asset Management)
Manager: Jerry Haworth (CEO and CIO, 36 South Capital Advisors LLP)
Manager: Simon Kitson (Portfolio Manager and CEO, Quadrant Dynamic Risk Allocation)
Investor: Moritz Seibert (CEO/CIO, Munich Re Investment Partners GmbH)
Moderator: Erik Norland (Senior Economist, CME Group)
Current European sovereign bond dynamics
Prof. Dr. Peter Schwendner (Head of Center for Asset Management at ZHAW School of Management and Law)
Don't be mean: Where do you fit in the distribution
David Dredge (CIO, Convex Strategies)
Volatility and the omen of the hawk and serpent
Christopher Cole (Founder & CIO, Artemis Capital Management LP)
Update on listed factors (TRF, Dividends, VSTOXX)
Philipp Schultze (Head of Equity & Index Sales EMEA, Eurex)