Day 1 - Wednesday 18th September 2019
Wednesday, September 18th, 2019
- What are the three biggest drivers influencing the buy side desk and how can you embrace these to improve performance?
- Navigating the new norm - How can you incorporate innovative ways of working to address the fragmented product, liquidity, and platform conundrum?
- What strategies can you exploit to ensure you are tapping into the best liquidity pools at the right times?
- Trading and regulations - What were the biggest lessons learned from MiFID II and how has this affected your trading desks so far?
- The introduction of mandatory clearing and trading for CAT 3 and CAT 4 firms – Are we expected to see further investments in derivatives trading, as well as automated execution mechanisms?
- How should you monitor political risk in 2019 and how can you integrate this into your investment decisions?