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Hedge Fund Risk Management
Achieving Alpha Through Risk Management Strategies
June 3 - 4, 2008 · Sheraton Stamford Hotel, Stamford, CT
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Benefits of Attending
Register yourself and a team online now!
Early Bird Discount
Register and pay by 8th April and receive up to $400 off!
It is difficult for hedge funds to get quality assets, which will stay for a while increasing the need for proper risk management practices.
Sarah Woodhouse, Deloitte - Assurance & Advisory Partner
As the number of hedge funds has proliferated, and as many have grown from small boutiques attracting high net worh individuals, to major firms attracting investment from institutional investors, there is an increased demand on hedge funds to demonstrate proper systems and procedures for risk management.
With the recent credit crunch, lack of liquidity and generally turbulent markets resulting in some high-profile hedge fund collapses, there has been an increased focus by investors on hedge funds’ risk management strategies.
Don’t miss this event
The Hedge Fund Risk Management Summit will identify the best practices and strategies to minimize inherent investment risks in your portfolios. Don’t miss this unique benchmarking and networking opportunity with leaders in the hedge fund industry!
Confirmed Speakers:
- Tom Biolsi, Associate Regional Director for Examinations, US SECURITIES AND EXCHANGE COMMISSION (probable)
- Kenneth Winston, Global Chief Risk Officer, MORGAN STANLEY INVESTMENT MANAGEMENT
- Sherif Sweillam, Managing Director and Director of Global Risk Management, TUDOR INVESTMENT CORPORATION
- Jürgen Kruger, Head of Risk Management, CONCORDIA FUNDS
- Kyle McDaniel, Director of Risk Management, AUSTIN CAPITAL MANAGEMENT
- Aaron Brown, Head of Risk, AQR CAPITAL MANAGEMENT
- Harry Krensky, Principal and Founding Partner, ATLAS CAPITAL MANAGEMENT
- Brent Tran, Head of Risk Management, CANTILLON CAPITAL MANAGEMENT LLC
- David Lifchitz, Director of Risk Management, DOLOMITE CAPITAL MANAGEMENT
- Richard de Garis, Risk Manager, COLLINS CAPITAL
- Larry Smith, Chief Investment Officer, THIRD WAVE GLOBAL INVESTORS
- Dmitry Green, Head of Risk Management, BLUEMOUNTAIN CAPITAL MANAGEMENT
- R. Douglas Martin, Chief Executive Officer, FINANALYTICA, INC.
- Richard Horwitz, Author of “Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge”
- Thomas Donahoe, Chief Risk Officer, ANGELO, GORDON & CO.
- Didier Livio, Director, Barclays Capital
- Mark Abbott, Managing Director, Quantitative Risk Management, GUARDIAN LIFE and Secretary, PRMIA BOARD OF DIRECTORS
- Ron Panzier, Chief Executive Officer, MAYERCAP, LLC
- Charles Cocke, Founder and Managing Director, INVESTURE LLC
- Til Schuermann, Research, Financial Intermediation, FEDERAL RESERVE BANK OF NEW YORK
- Elliot Noma, Senior Vice President and Chief Risk Officer, ASSET ALLIANCE CORPORATION
- Seth Fischoff, Director of Risk Management, AGAMAS CAPITAL
- Jonathan Nash, Director, Risk Management, DIMAIO AHMAD CAPITAL
- Damian Handzy, Chairman and Chief Executive Officer, INVESTOR ANALYTICS (Chairperson)
- Peruvemba Satish, Chief Risk Officer, DKR CAPITAL INC.
Who Should Attend:
- Chief Executive Officers
- Chief Investment Officers
- Chief Risk Managers
- Risk Analysts
- Portfolio Managers
- Heads of Risk Management
- Heads of Asset Allocation
- Heads of Performance Analysis
- Heads of Risk Solutions
- Directors of Alternative Assets
- Heads of Global Hedge Fund Strategy
- Head of Structured Products Group
From:
- Hedge Funds
- Fund of Funds
- Pension Funds
- Endowments
- Family Offices
- Investment Banks
- Law Firms
- Software Companies
- Consultancies
- Risk Management Service Providers
If you are not yet ready to register, feel free to request a reminder nearer the time .
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[ Register Now]
· [ Next: Conference Day One: Tuesday, June 3, 2008 ]
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