Remove 2006 Remove Asset Allocation Remove Risk Tolerance Remove Valuation
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Transcript: Julian Salisbury, GS

The Big Picture

And then in a fit of madness, I guess, at the end of 2006, the credit markets were pretty uninteresting. So what we find, and then of course we have a multi-asset solutions business where we talk to clients about the entirety of their portfolio, their strategic asset allocation models. There wasn’t a lot to do.

Assets 290
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Transcript: Sean Dobson, Amherst Holdings

The Big Picture

And I would say that Washington was pretty interesting because we had gone and, and spoken to people in 2005, 2006, and to kind of let people know that there was something, these are, this is a trillion dollars worth of misprice risk. They’re asset allocation model driven folks. The market kept issuing securities.

Banking 143