10 - 12 September, 2018
NH Collection Tower, Barcelona
44 (0) 20 7368 9836
Senior Portfolio Manager
Credit Suisse Asset Management
4:50 PM Panel Discussion: What are the best strategies for FX Portfolio Managers to tackle a post MiFID II world and support their execution desks?
- With many buy side firms leaving the implications of MiFID II primarily to the trading desk, FX Portfolio Managers can have limited understanding of what it means for them – how does MiFID II specifically impact the portfolio management function?
- What aspects of best execution do Portfolio Managers need to get involved in, and how can they best support their execution desks to ensure compliance?
- How does MIFID II affect doing trades using tools such as Bloomberg chat? Does it need to be more electronic now?