Webinar

Navigating Volatility: Strategic Insights for Asset Owners and Asset Management

The investment landscape is in constant motion, shaped by tariff trends, market volatility, and evolving global dynamics. This session equips you with actionable strategies for the next 6-12 months. We'll explore alpha-generating hedging structures, optimize portfolio management, and apply strategic risk management. Discover how to leverage Bloomberg to enhance your workflow, decompose risk with derivatives solutions, and unlock opportunities in structured products and hybrid FX & Equity. Join us to sharpen your edge in today's complex markets.

Speakers

Gaurav Kapoor

Market Specialist - Derivatives & Risk

Bloomberg

Gaurav specializes in X-asset derivatives pricing and risk management at Bloomberg and leads the structured products strategy for the APAC region.

Prior to joining Bloomberg, he has worked in the corporate and investment banking industry across Asia & Europe including specializing in structuring of complex derivative products. He is passionate about quantitative finance and risk management, with a keen interest in application of machine learning techniques in finance.

He holds a Bachelor of Engineering and MBA (Finance) from the M.S. University of Baroda. Gaurav has also been awarded the Certificate in Quantitative Finance (CQF) and is a Financial Risk Manager (FRM).

Shantanu Basu

Buyside Risk Enterprise Sales

Bloomberg

Shantanu Basu advises the buyside in ASEAN and Australia on Market and Counterparty Risk Management. Prior to his role at Bloomberg, Shantanu worked as an FICC structurer at RBS and ABN AMRO Bank in Hong Kong and Singapore. He has a Masters Degree from the School of Engineering and Applied Sciences at Columbia University.

Garima Singh

Bloomberg

Soujit Ghosh

Lead Derivatives Market Specialist, Australia

Bloomberg

Soujit is responsible for developing, promoting, and strategizing Bloomberg Products related to Derivatives Trading & Structured Products in Australia, with a multi-asset coverage, focusing on Equities, ETFs and Digital Assets. Soujit moved with Bloomberg to the Sydney in February 2023 from the Hong Kong office. Prior to joining Bloomberg HK in 2021, he worked for over 20 years as an Equity Derivatives Trader at several banks in London, Hong Kong, and Seoul, including JPMorgan and Nomura. He began his career in the Financial Markets as an Equity Derivatives Trader at Goldman Sachs in London. Soujit graduated from Cambridge University with BA and MEng degrees in Chemical Engineering. Soujit also studied at Harvard University, where he graduated with a Master’s degree in Statistics.

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