Programma van Live Uitzending 'Balansmanagement en Vermogensbeheer voor Verzekeraars'
Live Uitzending 'Balansmanagement en Vermogensbeheer voor Verzekeraars'
Op woensdag 9 september: | |
12:15 - 13:00 | Lunch & Registratie |
13:00 - 13:10 | Welkom & Introductie Door Pim Poppe, Managing Partner, Lead Consultant, Probability & Partners |
13:10 - 13:40 | Commercial Real Estate (CRE) Debt: An introduction for Insurance clients Door Marlon Rockenfeller, Executive Director |
13:40 - 14:10 | Investing in Emerging Markets Sustainable Infrastructure Debt Door Aurélia Marti, Associate Vice President, Sustainable Infrastructure, BlueOrchard (member of the Schroders Group) |
14:10 - 14:40 | Practical observations to optimize risk capital in high yield Door Andrew Wilmont, Head of High Yield, Developed Credit Markets Team, Pictet Asset Management |
14:40 - 15:05 | Pauze |
15:05 - 15:35 | Balance Sheet Volatility - Diversification and Mitigation of Equity Allocation Risks for Insurers Door Charles Moussier, Head of EMEA Insurance Client Solutions, Invesco |
15:35 - 16:05 | Liquidity management: Are insurers fully optimising their cash reserves? Door Alex Wharton, Head of Insurance Relationships, Global Client Solutions, Aviva Investors & Emily McDonald, Investment Director, Credit Investment Specialist Team, Aviva Investors |
16:05 - 16:35 | Paneldiscussie Door Gerard Moerman, Head of Fixed Income, LDI and Investment Solutions, Aegon Asset Management & Alexander Duckwitz, Head of Client Solutions & Erik Jan van Bergen, Managing director Investments |
16:35 - 16:45 | Samenvatting & Conclusie Door Pim Poppe, Managing Partner, Lead Consultant, Probability & Partners |
16:45 - 17:30 | Hapje & Drankje |