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Fund Marketing & Distribution 2012

Event : Fund Marketing & Distribution 2012

Tue, 11/12/2012  
Conducted by : IIR Events
Contact : Haydn Gush

 What’s included in the 2 day conference:

Distribution
Future Challenges to the Fund Distribution model
Distribution into Asia
Distribution with US & LatAm
Utilising Platforms within Your Distribution Strategy
Overcoming Complexities within Cross-Border UCITS Distribution
Regulation & Compliance
Accommodating FATCA within Distribution Models
AIFM: What Next for UCITS?
UCITS: Complex vs. Non-Complex
Avoiding UCITS IV Pitfalls
MiFID Fund Distribution Opportunities & Challenges
Operational Efficiency
Fund Domiciliation:  Is There a Cheaper Way for UCITS?
Complexities in Administering Funds
What you Need to Know if Moving Onshore
Scaling into Multiple Jurisdictions whilst Maintaining Profitability
Operational Efficiencies: Industry Best Practices & Examples 
Product Development
Absolute Return UCITS: Increasing AUM through Alternative Distribution Channels
Distribution of UCITS through ETFs
PRIPs: Ensuring Effective Consumer Protection
Investor Demand: Fund Selection & Buying Habits Exposed
 
Post conference workshop – Risk Management Within UCITS Funds:
Use industry case studies, practical examples and hands on exercises to gain complete knowledge on capturing and controlling the risks in your UCITS funds.
•Form an action plan utilising the latest data, tools & techniques
•Ensure you capture all risks with a comprehensive framework
•Best practice measures, limits and procedures
•Analyse your counterparty risk and set realistic limits
•Understand and monitor the operational threats
•Gauge market risk and valuation
•Review your governance through assigning responsibilities
•Regulatory and internal reporting
•Assess current of risk management measures
•Tools and techniques for stress testing
•Define staff roles and responsibilities
•Current software on the market
•Develop your own risk report
•VaR: Measure the risk of loss on your portfolios
•Accurately gauge & monitor your exposures
 
Register today using the Global Fund Media VIP code FKW52293GFM and SAVE 10% on your course fee!
 


features
Special report
Hedgeweek Special Report: The Bahamas – How it continues to evolve its funds industry

The Bahamas is taking steps to raise its profile as an attractive funds centre, continuing to build out the popular SMART Fund model template to provide a range of solutions for investment managers, plus its new ICON structure designed to appeal specifically to Brazilian investment managers and advisers.... »

Special report
How to Access Europe using third party AIFMs

Read how managers seeking to distribute in Europe can appoint a third party AIFM (or ManCo), and the fund distribution benefits this can bring, both for new fund launches and redomiciled funds... »

Article

Fund managers and investors are in a tug-of-war over the issue of transparency. Once content with a performance update, basic valuation and general market commentary, Limited Partners (LPs) are now digging deeper, asking more questions and requiring more information from General Partners (GPs) than ever before. ... »

Comment
Richard Hoey, BNY Mellon

Global gross domestic product (GDP) growth should accelerate somewhat in 2015 and 2016 from the pace of the last three years because of much lower oil prices, the avoidance of special drags on the world economy, and continuing easy monetary policies from global central banks, according to  BNY Mellon Chief Economist Richard Hoey. Hoey (pictured) made the comments in his February outlook.  ... »

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