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Now live! Explore the program for the upcoming 2024 Global Conference, taking place May 5-8, 2024.

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Return of the Mean: An Asset Management Perspective

Return of the Mean: An Asset Management Perspective

Global asset management continues to be fueled by a bull market that is entering its 10th year. Yet, as the economic outlook has dimmed, managers will have to adjust to succeed—not only to a change in economic growth but also to a rapid transformation in technology, data analytics, and investor demand. How are successful managers responding to these shifts in product demand, the growth in individual assets, and the evolving regulatory and technology environments? Which emerging technologies are expected to drive success and distinction in an increasingly competitive pack? And will investors' focus on low-cost passive investments come at a price as quantitative tightening and market volatility do away with the markets' persistent upward march?

Moderator

Jason Kelly

New York Bureau Chief, Bloomberg; Co-Anchor, Bloomberg Businessweek TV and Radio

 

Speakers

Todd Jablonski

Chief Investment Officer, Principal Portfolio Strategies, Principal Global Investors

 

Catherine Keating

CEO, BNY Mellon Wealth Management

 

Carter Lyons

Managing Director, Two Sigma

 

Ron Mock

President and CEO, Ontario Teachers' Pension Plan

 

Cyrus Taraporevala

President and CEO, State Street Global Advisors

 

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