2025 Risk Management Conference

Keyword: 2025 Risk Management Conference

7 results found

In a fast-paced world with increasingly complex risks around every corner, pension and investment executives are looking for ways to safeguard their portfolios. The 2025 Risk Management Conference was a one-day forum designed for GTA-based DB plan sponsors to hear about insights and strategies to help them navigate these risks and deliver positive outcomes to […]

The Financial Services Regulatory Authority of Ontario is working to address the problems of a detailed compliance approach to pension regulation, said James Hoffner (pictured left), head of prudential supervision and large public sector pension plans at the FSRA, during the keynote session at the Canadian Investment Review’s 2025 Risk Management Conference. A one-size-fits-all approach […]

An increase in market volatility is pushing asset owners to build a nimble portfolio, according to Olga Bezrokov, senior portfolio manager at Russell Investments, during a session at the Canadian Investment Review’s 2025 Risk Management Conference. A combination of geopolitical risks and vague policy signals from central banks is causing investors to reexamine how they […]

Alternative yield-enhancing credit is playing an innovative role in the risk profiles of Canadian institutional investors’ portfolios, said Findlay Franklin, portfolio manager at RBC Global Asset Management (UK) Ltd.’s fixed income team, during a session at the Canadian Investment Review’s 2025 Risk Management Conference. In the past few years, he’s seen credit used within multi-asset […]

The current uncertainty around tariffs and trade policy is dominating institutional investors’ macro view of fixed income, said Alexander M. Mackey, co‐chief investment officer of fixed income at MFS Investment Management, during a session at the Canadian Investment Review’s 2025 Risk Management Conference. To reduce the noise of the uncertainty, his day-to-day focus is dominated […]

Multi-portfolio management platforms combine a diverse set of investment strategies under one roof — a diversity where risk management becomes both essential and intricate, said Mehmet Bayraktar, chief risk officer at AllianceBernstein Arya Partners, during a session at the Canadian Investment Review’s 2025 Risk Management Conference. “That whole idea of complementing and coming up with […]

A changing world is challenging investment organizations’ established approach to risk management, said Dervish Halil (pictured left), senior managing director and head of credit and capital markets risk at the Ontario Teachers’ Pension Plan, during a panel session at the Canadian Investment Review’s 2025 Risk Management Conference. “I think one of the challenges is to […]