All topics

Reviewing 2021, standing at the historical intersection of 'two centenaries', China has a clear strategic goal of 'Peak CO2 Emissions and Carbon Neutrality'.

Looking ahead to 2022 and developing a new stage, the time has come for the asset management industry to seize these opportunities and focus on building a new development pattern and improving investment research capacity and service level from both sides of capital supply and demand. This will provide an important driving force for China’s economic innovation-driven development and necessary support for the preservation and appreciation of residents’ wealth.

The 12th Annual HED Conference will be held by FinFo Global on Nov 16th 2021, where speakers and attendees will exchange the direction and strategies of major categories of asset allocation. 

The conference will convene 400-500 institutional leaders from governments, associations, banks, securities, futures, asset management firms, mutual funds and private equity, asset management technology providers and more. The conference focuses on quantitative investing, fixed income, FOF, bonds, asset management technology and other topics, with discussions centring around the new development of various asset management institutions in the era of great asset management.

HED (Hedge Fund, ETF, Derivatives) is a grand conference planned and operated by FinFo Global for China's asset management industry since 2014. It has been successfully run through 11 editions, and this year FinFo will also be presenting the JIEFU Awards during the conference.

The HED Conference focuses on China's securities investment fund market, including banks, insurance companies, securities, futures, fund managers, trusts, wealth managers and more. There were more than 700 speakers and 4,000 guests at the last 11 conferences.

Key topics will include, but are not limited to:

  • New Opportunities for the Asset Management Industry Under Carbon Strategy
  • Global Asset Management's Giant Perspective: The accelerated opening of the Chinese market
  • Long-term Investment Strategies and the Effectiveness of Value Investing
  • ESG Investment in Huge Market Shocks such as the Covid-19 Pandemic and Net-zero Emissions
  • Asset Allocation in the Changing Situation: Fixed income, equities and bonds
  • Quantitative Enhanced Index Strategy in the Differentiation and Rotations Market
  • Technology-Enabled Quantitative Trading
  • Investment Opportunities for Industry Segment ETF
  • Strategic Management of Futures and Derivatives under the Structural Market
  • Optimization and Iteration of Medium and High-Frequency Trading Strategies
  • What Mutual Fund FOF Offers the Asset Allocation of Listed Companies
  • Diversified, Multi-Strategy Configurations of FOF
  • The Investment Strategies and Hedging Instruments of Securities FOF
  • Trust Fund Allocation: FOF, Fixed Income and more
  • Asset Managers & Investment Managers
  • New Opportunities for Business Technology Transformation and Capability Reconstruction of Securities
  • How to Apply Fintech to Approach the Wealth Management Business of Securities
  • From Data Middleground to Intelligent Middleground—The Solution of Middleground Agility
  • How to Turn Technology Advantage into Business Advantage
  • The Future of Intelligent Transactions and the Expansion of Quantitative Investment
  • New Opportunities and Challenges of Carbon Neutrality and Carbon Emissions
  • The Institutional Investors perspective of Carbon Neutrality: ESG and Impact Investing
  • The Positive Impacts of AI on Carbon Emissions Trading
  • The Exploration and Practice of the Construction of the Chinese Sustainable Investment System
  • Interaction Between Carbon Emissions Trading Markets and Capital Markets
  • How to Invest Steadily when the Rotation of Major Assets Classes is Faster and Faster
  • The Innovation of Portfolio Insurance Asset Management Products
  • How to Make Intelligent Investment Decisions
  • Smart Beta of Fixed Income in China
  • Investment Opportunities in the Bilateral Fluctuation of Exchange Rates: Bond RMB, Bond USD


12th JIEFU Award - Wealth Management:

The JIEFU Award was established and launched by FinFo Global, China's top financial industry media since 2014, and has received more than 3,000 applications from licensed financial institutions.

The financial themes of the JIEFU Award include Fund and Asset Management, Futures and Derivatives Trading, Private Banking and Wealth Management and more. The Vetting Committee is composed of well-known experts and scholars in the global financial industry, who assess the materials provided by the participating institutions and consider them combined with the visit and research results. The award is then issued after careful evaluation.