9th Edition CAIP Quebec and Atlantic

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Report Code: PNP16086 | 9th Edition CAIP Quebec and Atlantic | Quebec City

Article 1. Alternative Investments for Small-Mid Sized Pension Funds 

 Mathieu Goulet
Investments Advisor, Alternatives
Universite de Quebec Pension Fund 

Article 2. Opportunities in Private Debt 

Moderator
Paul Fahey
Former Vice President, Pension Investments
NAV CANADA
Panel Members
Yvon J. Jeghers
Vice President & Managing Director
Stonebridge Infrastructure Debt Fund

Jean-Christophe Greck
Vice President, Quebec
Integrated Asset Management Group

Ken Kencel
President and CEO
Churchill Asset Management LLC 

Article 3. Benefiting from Opportunities in US Middle Market Senior Lending 

Ken Kencel
President and CEO
Churchill Asset Management LLC

Article 4. Alternative Risk Premia (ARP) 

Wai Lee
Managing Director, Head of Quantitative Investment Group
Neuberger Berman Group LLC 

Article 5. Emerging Asset Classes and Uncorrelated Strategies 

Bernard Tan
Chief Executive Officer
RE Royalties Ltd. 

Article 6. Quebec’s Bill 57 – What You Need to Know 

Mitch Frazer
Partner
Torys LLP 

Article 7. Finding Diamonds in the Rough: Emerging Real Estate Managers Provide Unique Opportunities 

Marc Weidner
Managing Director, Franklin Real Asset Advisors
Franklin Templeton Institutional, LLC 

Article 8. Risk Factor Investing and True Diversification  

Claude Bergeron
Executive Vice President & Chief Risk Officer
Caisse de dépôt et placement du Québec