12th Edition CAIP Québec & Atlantic 2017


SKU: PNH170905 Category:


PNH170905 | 12th Edition CAIP Québec & Atlantic 2017 | Québec City

ARTICLE 1. Introductory Material

(a) Agenda
(b) Speakers’ List
(c) Speakers’ Biographies

ARTICLE 2. Alternative Investments become a Core Asset Class: Looking at 2020

Claude Bergeron
Executive Vice President and Chief Risk Officer

Rémi Tetrault
Investment Specialist, Multi-Asset
Aviva Investors Inc.

ARTICLE 3. How to Effectively Use an Advanced Approach to Overcome the Diversification Challenge

Luc Dumontier
Head of Factor Investing and Senior Portfolio Manager
La Française Investment Solutions

ARTICLE 4. Innovative Investing Opportunities in Insurance-Linked Securities & Catastrophe Bonds

Jonathan Malawer
Managing Director
K2 Advisors

Dan Elsberry
Senior Managing Director
K2 Advisors

ARTICLE 5. Making Sense of the World:Trump, Brexit and the Populist Roots of a Changing Global Order

Thomas W. Mucha
Vice President, Global Macroanalysis Advisor
Wellington Management

ARTICLE 6. Effective Investment Strategies to Maximize Returns in Private Debt

Dr. Marlene Puffer
Board Trustee, Chair of the Asset Liability Management Committee
Healthcare of Ontario Pension Plan (HOOPP)

Jean-Christophe Greck
VP, Québec
IAM Private Debt Group

ARTICLE 7. Innovations & Best Practices in Currency Risk Management

Alain Bergeron
Senior Vice President, Investment Management &
Head of Asset Allocation
Mackenzie Investments

ARTICLE 8. Case Study: How Pension Funds Can Find Opportunities in Share Futures

John Ley
Volatility Strategies Lead
Polar Asset Management Partners

ARTICLE 9. Why it’s So Important to Analyze Investments through an Environmental, Social and Governance (ESG) Lens: Thinking Outside the Box

Rosalie Vendette
Responsible Investment Senior Advisor
Desjardins Group