Actions and Detail Panel
LDI and Buy Side Fixed Income Event (Den Haag)
Tue 13 December 2016, 16:00 – 20:00 CET
Challenges facing LDI managers and Buy Side clients in Fixed Income Cash and Derivative products. An event taking you through the deal flow from Pre-Trade, Execution and Post Trade:
- Incorporating Post Trade costs at a Pre-Trade Level before Execution (TCA) for on-going daily Optimisation
- Buy Side Execution solutions to changing market structure dynamics
- Novation from Bilateral to Cleared, different clearing models and alternatives to using OTC IRS
- Impact on your Funds due to new regulation with regarding to IM/VM and MiFID II
Guest speaker Russ Oxley followed by an informal drinks & canapé reception.
Russ has over 15 years experience as a Portfolio Manager, more recently as Head of Rates and LDI at Old Mutual Global Investors. Acting as Lead Fund Manager for their Absolute Return Government Bond Fund (ARGBF), the fund can trade long or short positions in government bonds and uses derivatives in interest rates, inflation and currencies to create a non-directional portfolio.