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21Jun 2021
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25Jun 2021
Uncertainty risk from the coronavirus continues through 2021, with many institutional investors approaching the market with caution, and challenges abound. Strong stimulus and vaccine rollouts have led to record asset valuations. The gap between the capital markets and real markets has widened. Historical low-interest rates have made bond investments unattractive and high-valued stock markets intimidate investors. And restrictions on on-site due diligence continues to suppress overseas alternative investment. Those factors restrain new investment execution and portfolios rebalancing, resulting in unstable and unbalanced portfolios.
The 14th Institutional Investment Week Korea will show how Korean investors should rebalance their portfolios, build resilience within their investment strategies. It will also explore how asset owners should plan out their asset allocation and portfolio strategies under several different scenarios. Lastly, it will discuss ESG integration and technology applications in portfolio composition.
Conference website
Virtual Event 21-25 Jun 2021: 14th Institutional Investment Week KoreaCategory
Listed in: Pension Funds Conferences, Investment Consultants Conferences, Other Institutions Conferences, Endowments and Foundations Conferences, Private Wealth and Family Offices Conferences, SWFs and Central Banks Conferences, Institutional Asset Managers Conferences, Insurance Companies Conferences, Investment Process Conferences, ESG and Ethical Investing Conferences, Stock Selection and Analysis Conferences, Asset Allocation and TAA Conferences, Quant and Tools Conferences, Markets Outlook Conferences, Emerging Markets Outlook Conferences, Stocks and Sectors Outlook Conferences, Global Strategy Outlook Conferences, Debt and Credit Outlook Conferences, Asian Pension Funds Conferences, Fixed Income and Treasury Conferences, Risk and Portfolio Construction Conferences, Regulation and Compliance Conferences, Investment Technology Conferences.