Aviva’s Barauskas to discuss multi-strategy investing at Milan Forum
Juozas Barauskas, investment specialist at Aviva Investors, is set to discuss how to deal with uncertainty through a multi-strategy approach at the upcoming Milan Alternative Uctis Forum 2017, taking place at the Four Seasons Hotel on 9 March.
In a world where many security valuations are stretched and the volatility regime is shifting, wealth managers are challenged to put together portfolios that generate regular levels of return without exposing their clients to too much risk.
What to do? Aviva Investors will explain how to build a robust portfolio with a range of strategies across a number of different risk factors that achieves a specific outcome with low volatility irrespective of market environment.
Barauskas is an investment specialist, focusing on our multi-strategy capabilities. He joined Aviva Investors in 2013, having graduated from the University of York. Prior to joining the multi-asset team he was covering fixed income absolute return and long-only capabilities. He holds the Investment Management Certificate (IMC) and he is Chartered Alternative Investment Analyst (CAIA).