Observations of the Financial Crisis and Market Liquidity
From the CFA Institute 2009 Fixed-Income Management Conference
In this podcast, Mark A. Marinella, CFA, discusses the following:
- What are the lasting implications of the financial crisis on portfolio construction?
- Has liquidity risk altered investment decision-making processes?
- Can the bond market function without the support of government programs?
Please note: Slides are not available for this podcast.
This podcast comprises a 31-minute presentation and a 13-minute question-and-answer session.
Please e-mail us your webcast comments and suggestions.
Speaker
Mark A. Marinella, CFA, is an executive vice president at State Street Global Advisors, where he is the global fixed income chief investment officer, responsible for all fixed-income strategies and products including liability-driven investments. Previously, he was head of cash management at BlackRock and chief investment officer at State Street Research and Management in charge of the fixed income group. Mr. Marinella holds a BA degree in economics from the University of Massachusetts and an MA degree in marketing and finance from Boston College.
This information is accurate as of the date of recording.
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Topic
Details
| Length: |
44min |
| Posted: |
10/20/2009 |
| Recorded On: |
10/1/2009 |
| CE Credits: |
0.5 CE |
| Formats: |
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Price (USD)
| Members: |
FREE |
| CFA Program Candidates: |
FREE |
| Standard Rate: |
FREE |