- Overcoming Market Volatility and Liquidity Challenges in Portfolio Design
- Finding Alpha by Managing Beta – A Look at What Strategies Are Expected to Generate Attractive Returns in Down or Recovering Markets
- Transparency and Risk Management – Resolving the Conflict Between Investor’s Need for Information and Independent Risk Management and Managers’ Need for Flexibility and Efficiency
- Portfolio Optimization – Looking at How the Risk / Return Characteristics of Various Hedged Strategies Fill Gaps in Portfolio Construction
- A Hub and Spoke Approach – How to Evolve the Use of Fund of Funds in Your Alternative Investment Strategy
- Creating Separately Managed Accounts to Increase Transparency and Provide Actionable Risk Management
- Fund Composition – Understanding the How Interaction of Funds Affects the Risk / Return Characteristics of the Portfolio
- In Depth Coverage of the Monetary and Fiscal Policies – What Opportunities Will Be Created by the Government and Federal Reserve’s Actions to Promote a Recovery?
- The Future of Hedge Fund Regulation, Reporting and Taxation
- Unlocking Leverage – An Outlook of the Credit Markets and the Latest Terms of Credit Lenders are Extending to Hedge Funds
- Gold, Oil, And Currency – The Impact of the Economy and Inflation or Deflation on Key Asset Prices

