European insurers have got a lot on their plate from Solvency II implementation to a world of low to negative yields. But what does it mean for their asset management arms and the solutions that are available? Taking part to discuss are:
<ul><li>Mehdi Guissi, Co-head of Solutions Strategy</li>
<li>Uday Patnaik, Head of Emerging Market Debt</li>
<li>Martin Dietz, Senior Portfolio Manager (Multi-Asset Strategies)</li>
<li>Graham Wardle, Senior Portfolio Manager (LDI Strategies)
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Tuesday, July 31, 2018
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Monday, March 18, 2019 - 10:45
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