Dominicé is an investment management company that offers a range of specialized investment funds, as well as private asset management services that aim to deliver positive risk-adjusted returns throughout various market cycles so they understand the dilemma of including volatility strategies in diversified portfolios.
Join us for an in-depth discussion with Pierre de Saab, Partner and Head of Asset Management at Dominicé as he talks through how investors can address the tough decisions of picking the “best” volatility fund, timing their volatility exposure, and how they should assess volatility funds as standalone investments.
Pierre will also take us through Dominicé's philosophy and approach to:
Classification of volatility strategies
Volatility as a strategic (not a tactical) investment
Where is the edge? Active risk management!
Why a portfolio of volatility strategies are better than one