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Overview
Standard investment performance attribution calculation methodologies are often not reflective of the investment decision making process, which presents a challenge for investment managers who want to clearly connect past decisions to realized returns. Join investment & technology operations consultant Mark R. David, who manages the Risk & Analytics practice of Meradia, as he addresses this common challenge and presents a range of solutions. This discussion, facilitated by the Performance & Risk Analytics interest group, will explore potential motivations and detailed methods of presenting investment performance attribution analysis in a non-standard manner.
Agenda
12:00 PM | WELCOME REMARKS
John Matsikas, CFA, CIPM, SVP, Investment Performance, Voya Investment Management, Co-Chair of the Performance & Risk Analytics Group, CFA Society New York
12:05 PM | KEYNOTE PRESENTATION
Mark David, CFA, Director, Meradia
1:00 PM | Q&A
1:15 PM | CLOSING REMARKS
John Matsikas, CFA, CIPM, SVP, Investment Performance, Voya Investment Management, Co-Chair of the Performance & Risk Analytics Group, CFA Society New York
Additional Details
Learning Outcomes
- Discuss techniques that can attribute investment performance results to investment decision making
- Address common challenges of standard investment performance attribution methodologies