Harin de Silva, Ph.D., CFA
President and Portfolio Manager
Sub-Advisor: 361 Global Long/Short
Alternative Investments Editor
The investment risk environment has undergone dramatic change recently. Volatility has collapsed to historically low levels as equity markets have soared. So much so that seasoned advisors are now wondering if investors are growing too complacent and if they’re prepared for a volatility surprise.
In this webinar, WealthManagement’s Alternative Investments Editor, Brad Zigler sits down with Harin de Silva, Ph.D., an award-winning innovator in volatility-based investments and research, to discuss the current risk environment and the implications for investors.
By attending, you’ll learn:
• How the future of risk has changed
• What factors investors and advisors should focus on to better manage risk
• How to properly structure a portfolio for the current environment
• Realistic expectations for long/short equity investments
*CFP, CIMA®, CPWA®, and AEP® CE Credits have been applied for and are pending approval.
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