
October 13, 2022
Time
10:00 a.m. HKT | 11:00 a.m. JST
In this webinar we will analyze recent market events through the lens of our fundamental factor risk models to identify key drivers of risk and return in global markets. Additionally, we will look at how investor sentiment has changed during this past quarter, where it is now, and how it is affecting portfolio construction for investors in light of the macroeconomic and geopolitical uncertainties. We will present insights from multiple sources; volatility, factors, sentiment, and the derivatives market.
Olivier d’Assier
Managing Director, Applied Research, APAC
Qontigo
Mezhgan Qabool
Executive Director, Head of Market Development and Sales APAC
Eurex derivatives trading and clearing