Bloomberg for Credit: the Art of Diversification: Strategic Asset Allocation and Optimal Benchmarking
Discussion topics:
- Efficient Screening and Analysis of Cross Asset Risk Return Profiles
- Building Robust Strategic Asset Allocation with Indices
- Stress Testing Tactical Allocations along Factor Risk Exposure and Scenario Analysis
- Evaluating Portfolio and Manager Performance
Speakers
Christian Weber
Fixed Income Market Specialist
Bloomberg
Christian is an EMEA Market Specialist for Fixed Income at Bloomberg and has 18 years of experience in buy-side and sell-side roles in financial markets. He worked as Head of Fixed Income in Wealth Management, Deputy Head of Credit Strategy Research and Head of Credit Portfolio Management at banks and fund companies. Christian has been a CFA charterholder since 2005, studied business administration and holds degrees in business administration, a Master of Business Research and a doctorate in finance
Graziano Prada
Credit Market Specialist
Bloomberg
Graziano has a background of 15 years in Money Markets and Credit Trading & Sales at Citigroup and Credit Suisse. Graziano specialises in front-end of the curve across various products: IG Financial and Corporate bonds, CPs, CDs and Bank Deposits as well as FX Spot and FX Swaps across G7 currencies.