Dear reader, 2020 has been one of mixed fortunes.
In a tough environment for most, some segments of the debt capital markets (DCM) showed resilience — while others struggled to remain afloat. But why is this? Which strategies separate the resilient firms from those experiencing overwhelm? What are the macro factors affecting DCM investing strategies? And how have the events of 2020 changed allocator expectations for 2021?
Co-hosted by SS&C Intralinks and Institutional Asset Manager, you’re invited to join us on 15 December for insights on where opportunity and yield may be uncovered amid an expected landscape of volatility, loan defaults, tighter liquidity, regulatory risk, and evolving geopolitics: Our current panel includes: - Brandon Laughren // Chief Investment Officer of Laughren Group, Single Family Office
- Michael Danov // President & Chief Investment Officer, SBP Management
- David Wilson // Senior Account Executive, Intralinks
- Angele Paris // Contributing Editor, Institutional Asset Manager
We hope to see you there. Kind regards, The InstitutionalAssetManager Team |