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Multi- Asset Investment Outlook 2021

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Multi- Asset Investment Outlook 2021

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Multi- Asset Investment Outlook 2021

1. Manish Kataria -

Portfolio Manager and Strategist - Global Markets & Property Finance

- Global Equity Fund Manager (DM, EM, Asia)

- De-risked and diversified Secured Property Finance

- Developed proprietary top-down and bottom-up investment strategies

- Manager selection and construction of Multi-Manager funds (fixed income)

- Active contributor to Asset Allocation process

- Track record in managing long-only, hedge fund and private client money

- Exposure to various strategies including: equity fundamental, long-short, macro, derivatives, quant, income strategies, fixed income

- CFA

In this talk he will be sharing his views around the main asset classes - stocks, property (residential vs. commercial) and secured loans. And how the macro fits into each.

2. Stefan Canavan -

He is an experienced property investment entrepreneur, developer and the co-founder of Willow Isle Capital, an innovative and comprehensive property financing provider specialsing in both equity funding and debt broking (bridging, development finance and stretched debt).

His property development, investment, capital raising and corporate strategy background enables him to effectively collaborate with and understand the needs of both investors seeking top returns and developers in need of reliable and competitive funding from a trusted partner.

His talk will focus on funding development and commercial property deals.

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