Remove Management Remove Portfolio Management Remove Risk Management Remove Valuation
article thumbnail

Accountant vs. Financial Advisor: What Are Your Goals & Who Will Help You Get There?

Zoe Financial

Published February 21st, 2023 Reading Time: 3 minutes Written by: The Zoe Team When it comes to managing your money, knowing who to turn to can be challenging. A Zoe Blog Reader Dear Reader, When it comes to managing your money, knowing who to turn to can be challenging. What Are Your Goals & Who Will Help You Get There?

article thumbnail

An Insight into Investment Advisor Courses and Training Programs

International College of Financial Planning

Financial Risk Manager (FRM) – If you love solving problems and wish to help your clients mitigate risks you can turn your attention to a career as a Financial Risk Manager. You can also undertake the globally recognized course in risk management from GARP (Global Association of Risk Professionals).

Insiders

Sign Up for our Newsletter

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.

article thumbnail

Transcript: Michael Rockefeller

The Big Picture

There are about 13 different portfolio managers each focused on a different sub-sector. And when they look at a sector, they want to be long, the very best stocks at the best valuations they can, and short the worst stocks at the worst valuations. They, they run a very specific sector focused type of fund.

article thumbnail

Sustainable Sovereigns: Integrating ESG Analysis into Government Debt Research

Brown Advisory

Focus on Risks and Opportunities: Our ESG research approach seeks to assess ESG risk management, and identify sustainable opportunities that address key environmental and/or social challenges, which we believe can lead to improved performance and impact. Our approach is consistent and systematic across our platform.

article thumbnail

Sustainable Sovereigns: Integrating ESG Analysis into Government Debt Research

Brown Advisory

Focus on Risks and Opportunities: Our ESG research approach seeks to assess ESG risk management, and identify sustainable opportunities that address key environmental and/or social challenges, which we believe can lead to improved performance and impact. Our approach is consistent and systematic across our platform.

article thumbnail

Transcript: Graeme Forster, Orbis Investments

The Big Picture

Barry Ritholtz] This week on the podcast, I have an extra special guest, Graham Foster’s pm at Orbis Investment Management. I want to get into that before we start talking about asset management. Those have compounded over the centuries and have managed to amass a huge amount of, of capital. Risk management.

Investing 130
article thumbnail

Transcript: Julian Salisbury, GS

The Big Picture

He is the Chief Investment Officer of Asset and Wealth Management at Goldman Sachs. He’s a member of the management committee. He co-chairs a number of the asset management investment committees. I thought this was an absolutely fascinating way to see the world of investment management. And I think you will also.

Assets 293