Understanding risk – the panel discuss different aspects of market and investment risk and how to best address it.
Aurélia Gerber, director at the Bank J. Safra Sarasin develops and manages quantitative multi-asset investments strategies. With 17 years in Institutional Asset Management she has extensive experience in the construction and the management of products in fixed income, money market, equity, balanced, alternative and emerging markets. She is skilled in technical and fundamental investment analysis.
Marcus du Sautoy is the Charles Simonyi Professor for the Public Understanding of Science and Professor of Mathematics at the University of Oxford and a Fellow of New College.
David Sneddon is a managing director of Credit Suisse in the Investment Banking division, based in London. He is global head of Technical Analysis and is responsible for overseeing the entire technical analysis product, covering the Fixed Income, FX, Equity and Commodity markets, as well as the provision of technical analysis education within Credit Suisse and for clients globally.
Jeff Hochman is Director of Technical Strategy at Fidelity Worldwide Investment. In his current role, Jeff manages a team of Technical Analysts with whom he provides support to Equity Fund Managers and Equity Research Analysts at both stock picking and macro asset allocation levels. He also frequently represents Fidelity to clients, the press and at conferences.