2010 CFA Institute European Investment Conference

8-10 November 2010 Copenhagen, Denmark

With the worst effects of the market crisis receding, tough new questions about the very nature of the European economic model have emerged to take their place. How do investment professionals adapt to and leverage the new economic climate? What does the increased focus on a common economic and regulatory framework mean for portfolio and fund managers? What tools will bring clarity to evolving credit markets?

As the CFA Institute flagship event in the region, the Third Annual European Investment Conference brought together investment professionals, academics, and experts to network, share ideas, build rewarding relationships, and take home the latest perspectives and solutions to investment challenges.

Add to Playlist

Price (USD)

Members: FREE
CFA Program Candidates: FREE
Standard Rate: FREE
University: FREE

Contains 5 Items

Posted On Title 
2/11/2011 Currency Considerations in an International Portfolio
SpeakerTarun Ramadorai
Length41Min
Price (USD)Members: FREECFA Program Candidates: FREEStandard Rate: FREEUniversity: FREE
Formats
  • Audio Webcast
Play
1/25/2011 Managing Illiquid Portfolios
SpeakerKostas Iordanidis
Length48Min
Price (USD)Members: FREECFA Program Candidates: FREEStandard Rate: FREEUniversity: FREE
Formats
  • Video Webcast
Play
1/11/2011 The State of Credit Markets and the Implications for Global Investors
SpeakerMatt King
Length44Min
Price (USD)Members: FREECFA Program Candidates: FREEStandard Rate: FREEUniversity: FREE
Formats
  • Video Webcast
  • Audio Webcast
Play
1/7/2011 The Analytical Implications of Accounting Convergence
SpeakerKarl Debenham
Length51Min
Price (USD)Members: FREECFA Program Candidates: FREEStandard Rate: FREEUniversity: FREE
Formats
  • Video Webcast
Play
12/20/2010 Geopolitical Uncertainty and Market Volatility
SpeakerWillis Sparks
Length47Min
Price (USD)Members: FREECFA Program Candidates: FREEStandard Rate: FREEUniversity: FREE
Formats
  • Audio Podcast
Play