Sign up for free newsletter


Yale SOM - EDHEC-Risk Equity Investment seminar - New Haven

Training : Yale SOM - EDHEC-Risk Equity Investment seminar - New Haven

Wed, 05/03/2014   for 2 Days
Conducted by : Yale SOM - EDHEC-Risk
Contact : Melanie Ruiz
Duration : 2 Days
Apply now Visit site

USA, New Haven, March 5-6
UK, London, March 18-19

Yale School of Management and EDHEC-Risk Institute now jointly offer top-quality executive education courses in the area of investing and risk management based on the exceptional strength and relevance of academic research conducted by both Yale SOM and EDHEC-Risk finance faculty.
The second seminar offered as part of this joint initiative will deal with Equity Investment. The course will be conducted by two senior finance professors, William N. Goetzmann from Yale School of Management and Raman Uppal from EDHEC Business School, who have earned worldwide recognition for the relevance of their work and their involvement in the professional world.
Moreover, in the context of their partnership, Yale School of Management and EDHEC-Risk Institute have designed this course as a component of an ambitious high-level programme in risk and investment management. The programme includes six seminars to take place in the US on Yale’s campus and in Europe on EDHEC-Risk Institute’s London campus. Participants in this programme, which include seminars on Strategic Asset Allocation, Equity Investment, Fixed-Income Investment, Alternative Investment, Multi-Management Investment and Structured Products Investment, can acquire the joint Yale School of Management - EDHEC-Risk Institute Certificate in Risk and Investment Management.
Seminar Fees:
Further Information and Registration:
For further information about the event please visit our webpage 

To register for the New Haven USA event click here

Continuing Education Credits
EDHEC-Risk Institute is registered with CFA Institute as an Approved Provider of continuing education programs.
EDHEC-Risk Institute is registered with GARP as an Approved Provider of continuing professional education credits for FRMs and ERPs.


Asia-based fund manager outlook

Fri, 09/10/2015 - 09:29

In June 2015, Preqin surveyed 61 Asia-based private equity and venture capital fund managers to gain insight into their attitudes towards the fundraising environment, deals landscape and issues affecting the private equity industry as a whole. This extract from the Preqin Special Report: Asian Private Equity analyses the key findings from the survey, highlighting the overarching trends and outlook for Asian GP activity for the next 12 months.  ... »

Special report
US Hedge Fund Services 2015

US Hedge Fund Services 2015

Wed, 30/09/2015 - 11:21

A rising tide of regulation is threatening to swamp US hedge funds with significant trading, distribution and reporting issues.This Hedgeweek Special Report unravels these issues, guides managers through the solutions currently available to them, and examines the challenges of running activist hedge funds, where assets have grown to USD120 billion over the past decade... »

Special report
The TYVIX Index: Navigating through interest rate volatility

With interest rates set to rise, this Hedgeweek Special Report examines the the latest tools available to fixed income investors and traders in the form of the CBOE/CBOT 10-year US Treasury Note Volatility Index (The TYVIX Index) and TYVIX futures, which give traders an effective way to hedge, gain exposure to, or trade interest rate volatility.... »

Preqin Special Report: Hedge Fund Manager Outlook – Augst 2015

Unrealised assets in tail-end funds

Mon, 28/09/2015 - 14:40

Distributions from private equity funds have improved greatly in recent years as managers have taken advantage of improving market conditions to realise value from remaining assets in their portfolios. This has gone some way to alleviating concerns regarding the overhang of unrealised value in ageing funds; however, the issue has not yet been fully rectified, particularly as funds raised in the boom years of 2005-2008 reach the 10-year mark. ... »

Index options & futures

John Angelos, CBOE

Interest rate volatility is like a storm cloud building on the horizon. The US Federal Reserve has kept rates stable for nigh on a decade, but global asset managers are now preparing for their fixed income portfolios to feel the impact of a rate rise later this year.  ... »

Multiple Linux Engineer Positions

Thu, 08 Oct 2015 00:00:00 GMT

Java Developer - Commodities - New York

Thu, 08 Oct 2015 00:00:00 GMT

Java Developer - Financial Technology - Frankfurt

Thu, 08 Oct 2015 00:00:00 GMT

3 days 5 hours from now - New York
1 week 2 days from now - Cairo
1 week 2 days from now - Hong Kong
1 week 2 days from now - New York