Investment Performance Measurement, Attribution & Risk Master Investment Performance Reporting With Hands-On Workshop (London, United Kingdom - December 1-2, 2025)
Dublin, Aug. 29, 2025 (GLOBE NEWSWIRE) -- The "Investment Performance Measurement, Attribution & Risk (London, United Kingdom - December 1-2, 2025)" training has been added to ResearchAndMarkets.com's offering.
This is a comprehensive, hands-on business introduction to the concepts and application of Investment Performance Reporting, Equity Attribution and Ex-Post Risk. Although it includes brief coverage of Fixed Interest Attribution, Multi-Currency Attribution and Ex-Ante Risk, each of these more complex applications is given separate, dedicated one-day coverage in other workshops.
The workshop includes numerous case studies which work from raw data. It also includes coverage of the data management implications of Performance and Attribution implementations.
By attending this workshop you will gain an understanding of Performance, Attribution and Risk to allow you to follow through from Portfolio Valuation to Performance Report. In addition, you will be able to take the applications forward to 'get to the next stage' performance analysis, client reporting and user problem solving.
Investment Performance, Attribution and Risk are complex topics. Each includes concepts distinct from, for example, Investment Reporting, Accounting or Fund Pricing. Accordingly, a simple spreadsheet as a guide is made available for prospective attendees pre-workshop to attempt and gain initial familiarity with key concepts.
Who Should Attend:
This Investment Performance Measurement, Attribution and Risk course should be attended by professionals who need to understand and calculate financial performance from the following types of institutions and departments:
- Operations Staff Staff wishing to move into Performance Analyst roles Database Managers Fund Managers 'Sell Side' Supplier staff requiring a better knowledge of users' Performance requirements Portfolio Management Investment Management Equity Sales & Research Pension Funds Insurance Institutional Investors Banking
What will you learn
- Calculate returns and use key metrics Understand the benchmarks and indices and use them to measure performance Calculate and measure risk Track errors in performance Apply portfolio attribution Understand and apply Global Investment Performance Standards Present performance results and prepare reports
Key Topics Covered:
- Performance Returns Annualised vs Cumulative Returns Impact of Fees Currency impact Benchmarking Contribution Analysis GIPS Performance Attribution Equity Attribution - 'Top Down', Single Period Equity Attribution - 'Bottom Up' Alternative, Single Period Introduction to Multi-Currency Attribution Ex-Post and Ex-Ante Risk Statistical Concepts Ex-Post - Key Absolute Measures Ex-Post - Key Relative Measures
For more information about this training visit
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