Fenwick Media

Fund Finder Mauritius

November 19th at Labourdonnais Hotel, Port Louis

Global Asset Management Groups will present on a variety of topics covering Equities and Fixed Income.

Fund Finder Mauritius Workshops aim to help you efficiently select your Investment Products.

What can you expect from this event?

Format

A concise and targeted half day event in a pressure free, relaxed, and educational environment.

Speakers & Topics

A maximum of 4 selected sponsors present their strategies & products to fund selectors from across the country.

Audience

A specialized event designed to expose fund selectors to new Global Investment products whilst enabling them to  exchange ideas and network with their  peers from across the country.

Fast, efficient workshop format

The workshops will take place at the Labourdonnais Hotel and will see 4 sponsors each presenting 2 times over the course of a half day.

2 rooms, 10-12 fund selectors per room. Sponsors present once in each room for half an hour.

Sponsors are invited to present on overall strategies or on specific investment products.

When not presenting, sponsoring groups are welcome to sit in on other presentations, or network in the lobby.

To be confirmed

See his profile

Neutral market experts moderate the workshops

2 rooms

4 sponsors

12 fund selectors per room

RICHARD SIMPSON

Speakers & Topics

Rob Oliver

Head of Europe

Investing Beyond the Ordinary

Introduction to Global X as a company and strategies beyond the ordinary. The focus will be around disruptive thematic trends, alternative income and strategies that offer investors an ability to stay invested in equity markets whilst providing downside protection.

Presenter's profile

Rob joined Global X in 2020 and leads the European business.

Prior to joining Global X, Rob spent 12+ years at J.P. Morgan as Global Head of Beta and Systematic Strategies within Global Wealth Management, managing a team researching passive and quantitative strategies structured within ETFs, MFs, SMA’s and Hedge Funds. Rob also held roles in International Fund Product Management and Global Technology.

Matus Mrazik

Investment Manager, Systematic Equities

logo fenwick Media Fund Finder event

Finding Diversification in Uncertain Times

Matus Mrazik, investment manager, Jupiter Systematic Equities, will address the problem investors face in finding diversification when markets are dependent on difficult-to-predict macro events, such as the path of interest rates, inflation, and geopolitics. He will explain how an investment process can be designed to deliver across varied market environments. He will share insights from his team’s recent research.

Presenter's profile

Matus joined Merian (now Jupiter) in 2014 and is an Investment Manager, Systematic Equities.

He joined from Scottish Widows Investment Partnership, where he was responsible for equity research/strategy in the quantitative investments team. Prior to that he worked at Gulf International Bank. He previously worked alongside the current members of the systematic equities team at Old Mutual Asset Managers.

Vincent Denoiseux

Head of ETF Investment Strategy at Amundi ETF, Indexing and Smart Beta

Index insights and strategies for success

During this interactive session, Vincent Denoiseux will share his expert

analysis of recent ETF flows and market trends, which will lead to a

discussion on how major world events, such as the US election, have

impacted investment portfolios. He will then explore how index strategies can

be leveraged to navigate these challenges and achieve long-term investment

success.

Presenter's profile

Vincent Denoiseux has 20-years’ experience in quantitative research, derivatives,

structuring and portfolio construction. Before joining Amundi, Vincent was Head of

ETF Research and Solutions at Lyxor ETF and prior to that he was DWS’ Head of

Portfolio Solutions. Before that, he worked at Exane. Prior moving to capital

markets, Vincent was a Head of Quantitative Research, firstly at BNP Paribas Asset

Management and subsequently for Lehman Brothers Asset Management.

Andrea Seminara

CEO & CIO

Maximizing Returns with Market-Neutral Relative Value Strategies

We will explore how to leverage the expertise in market-neutral relative value

strategies to achieve uncorrelated returns with low volatility. By employing a

long/short approach in the corporate bond market, how to capitalize on temporary

price imbalances and spread differentials. Learning how these strategies offer steady

growth while minimizing risk and preserving capital, even in volatile market

conditions

Presenter's profile

Andrea Seminara is the Founder, CEO & CIO of Redhedge. He previously

worked at Banca Profilo as a Fixed Income Trader. Andrea Seminara

attended Catholic University of the Sacred Heart.

A hand-picked group of fund selectors

The Audience 

Fund selectors and influencers from the local banks, platforms, independents and the consultancies from across the island.

Invited fund selectors

Delegate passes will be issued on a strict invitation-only basis, where only key decision makers are able to attend.

Be part of unique

Fund Finder Events

Delegate passes will be issued on a strict invitation-only basis, where only key decision makers are able to attend