Investors move into 2017 with a certain degree of trepidation as geopolitical risks loom large on the horizon and safe-haven asset classes appear few and far between. Managers at our briefing will give their outlooks for the year across asset classes, and explain how they are positioning portfolios to protect investors against a number of market headwinds. In particular, they will go into detail about their individual approaches to absolute return investing, how they construct portfolios and manage volatility.

Delegates attending this briefing will benefit from a range of educational presentations, fantastic networking opportunities and valuable structured CPD hours.