Navigating Current Markets: Opportunities vs Risk Management

Date: 2022-07-05

Time: 20:00

The current volatile environment has investors weighing between the opportunities it brings as  prices have fallen quite a bit versus the associated volatility and risk that markets may fall further.  In this session we will look at what are likely strategies to adopt that help to weight the risk & rewards of investing in today’s markets. We will also look into risk management strategies that can be applied to lower the volatility on one’s portfolio.


Navigating Current Markets: Opportunities vs Risk Management
Sani Hamid
Director, Wealth Management, Financial Alliance Pte Ltd
Mr. Sani Hamid has around 30 years of working experience in the financial markets. He has worked for companies such as S&P MMS where he led a team of analysts covering Emerging Asian economies; BNP Paribas peregrine as a senior economist; and S&P Ratings as a sovereign analyst overseeing the ratings of countries such as Indonesia, India, Malaysia and Singapore. He has been widely quoted in the media throughout his career and has spoken at numerous international seminars on a wide range of topics.