Report Code: PNP16060 | April 17-19, 2016 | Queen’s Landing | Niagara-on-the-Lake
Article 1. The Pitfalls of Forecasting Returns
Alastair Baker, CFA
Multi Asset Fund Manager
Article 2. Private Debt: Investing in the Real World
Chief Investment Officer
IAM Private Debt Group
Robert M. Colliver
Partner & Co-CEO
Stonebridge Financial Corporation
President & CEO
Churchill Asset Management
Article 3. When Your Alternatives Stop Acting Like Alternatives – Accessing Uncorrelated Investment Strategies for Truer Diversification
Gwen Busby, PhD
GreenWood Resources Inc.
Article 4. Navigating Through the Currency Storm
Vice President, Senior Portfolio Manager
State Street Global Advisors
Article 5. Emerging Markets Deb$t: Can Volatility Lead to Opportunities?
VP, Senior Emerging Markets Debt Product Specialist
HSBC Global Asset Management
Article 6. Beyond Hedge Funds to Alternative Betas and Better Diversification: Moving off the Beaten Path
Stephen Gorman, CFA
Director, Tactical Asset Allocation, SMD
Article 7. Alternative Risk Premia (ARP)
Wai Lee, PhD
Senior Portfolio Manager and Global Head of Quantitative Investments
Neuberger Berman Group LLP
Article 8. Volatility Investing
Jeff Sheran, CFA
Managing Director, Senior Product Specialist
Allianz Global Investors Inc.
Article 9. Alternative Solutions – The Next Generation of Hedge Fund Investing
Head of Alternatives, North America Advisory Services
Franklin Templeton Institutional
Article 10. Liquidity Premium – Does it Really Exist and Is It Justifiable?
Former Vice President, Pension Investments
Board Trustee and Chair, Asset-Liability Management Committee
Healthcare of Ontario Pension Plan (HOOPP)
Article 11. Alternative Investments for Small to Mid-Sized Pension Plans to Access Alternative Active Classes|
Integrated Asset Management Corp.
Chief Executive Officer
Halifax Port ILA/HEA Pension Plan and Trust Funds
Co-Founder and Managing Partner
LGT Capital Partners Ltd.
Director, Client Portfolio Manager – Alternative Investments