In this episode, Alex Proimos, head of domestic content, Conexus Financial, chats with Amara Haqqani, director, insights and strategy at Milliman, about grassroots conversations about stopping the super guarantee, the industry’s Copernican moment of kicking product to the kerb, and what the real black swan event has been for super during the Coronavirus crisis.
Amara Haqqani: Super in 2020 – Copernicus, Warren Buffet’s swimming naked, and pitchforks in the street
Beyond asset classes: Active credit becomes the test case for Florida’s portfolio evolution
Florida State Board of Administration has built an active credit portfolio spanning public and private markets, CIO Lamar Taylor says the initiative could be the first step in a broader shift away from traditional asset-class investing towards a framework centred on return drivers and risk exposures.
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Operational risks and supply chain issue
This session highlights the need for resilience and robust continuity planning.
China’s economic position in the world
This session examines the impact of the crisis on China, the likely projection of its recovery and the role for the private sector.
China, emerging markets and the pandemic
The impact of the COVID-19 health and economic crisis is acutely more severe in emerging markets. What will the long-term impact of this be, and could the Renminbi emerge as a safe-haven currency?
Geopolitical risks and uncertainty
What can we learn from history and what it all means for institutional investors?
Investor responses
How are investors tackling the issues of de-globalisation and the impact on their portfolios?
COVID-19: The end of globalisation
What would de-globalisation look like given the interconnectedness and complexity of the economy and what does it mean for investors’ portfolios?




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