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Sharper Insights, Better Decisions: Evolving Risk and Performance Analytics for Multi-Asset Investing

 
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Date

June 18, 2025
 

Time

10:00 a.m. EDT New York
3:00 p.m. BST London
 

Location

Virtual Platform
 
Overview
What if you could streamline your risk and performance analysis to gain faster insights, without disrupting your existing infrastructure? 
 
In today’s volatile markets, that kind of speed and clarity is not just a nice-to-have, it is essential. Investment and risk teams are under pressure to deliver consistent results, which demands advanced analytics and stronger cross-functional alignment. 
 
Join us for an exclusive, insight-packed webinar where we explore how top-performing investment teams are streamlining their workflows, increasing transparency, and enhancing decision-making through integrated risk and performance analytics. 
 
Drawing on real-world examples, particularly the volatility witnessed in April this year, we demonstrate how MSCI’s rapid, in-depth analysis, powered by factor models and security analytics, brings clarity to both risk and performance.  
 
Agenda Topics
  • Explore the rising significance of supporting multi-asset investment strategies in today’s evolving market landscape. 
  • Why leading firms are unifying risk and performance: See how an integrated approach can boost transparency and alignment. 
  • Experience a hands-on demonstration of how our tools tackle risk and performance analysis —using April’s tariff-driven market volatility as a real-world example.
 
Who Should Attend 
  • Portfolio managers, risk officers, and investment strategists 
  • Heads of data, technology, and analytics in asset management 
  • Investment teams looking to modernize their investment process
 
 

Register now!

 
 

 
 
 
 
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