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 Conference on Investment Management 16 Jun Kuala Lumpur Malaysia QR Code
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Conferences

Conference on Investment Management


REF : C583 DATES: 16 - 20 Jun 2025 VENUE: Kuala Lumpur (Malaysia) FEE : 5850 

Overview:

Introduction:

This conference provides participants with a comprehensive understanding of investment management principles, focusing on portfolio construction, risk management, and long-term wealth creation strategies. Through it, participants will learn about financial market trends, asset allocation, and the use of analytics in making informed investment decisions.

Conference Objectives:

By the end of this conference, participants will be able to:

  • Develop investment strategies aligned with market trends and risk tolerance.

  • Apply asset allocation principles for diversified portfolios.

  • Utilize risk management tools to mitigate potential losses.

  • Analyze market data to optimize investment performance.

  • Build sustainable, long-term investment portfolios.

Target Audience:

  • Investment Managers.

  • Portfolio Analysts.

  • Financial Advisors.

  • Wealth Management Professionals.

  • Risk Management Professionals.

Conference Outline:

Unit 1:

Fundamentals of Investment Management:

  • Overview of investment management principles.

  • Understanding financial markets and asset classes.

  • Basic portfolio construction strategies.

  • Risk-return trade-offs in investment decisions.

  • Introduction to financial instruments and securities.

Unit 2:

Portfolio Management and Asset Allocation:

  • Strategic asset allocation and diversification.

  • Balancing portfolios based on risk tolerance.

  • Asset classes: equities, bonds, and alternative investments.

  • Tactical vs. strategic portfolio rebalancing.

  • Best practices for maintaining a diversified portfolio.

Unit 3:

Risk Management in Investment:

  • Identifying and measuring investment risks.

  • Tools for mitigating market and credit risks.

  • The role of derivatives in risk management.

  • Integrating risk management into portfolio strategy.

Unit 4:

Market Trends and Data Analysis:

  • Analyzing market trends and their impact on investment.

  • Using financial data for informed investment decisions.

  • Tools for technical and fundamental analysis.

  • Tracking economic indicators and market performance.

  • Leveraging technology in market analytics.

Unit 5:

Long-Term Wealth Creation Strategies:

  • Strategies for long-term investment success.

  • Creating sustainable investment portfolios.

  • The importance of compounding and reinvestment.

  • Monitoring and adjusting portfolios over time.