FFN’s Portfolio Seminar 2022 (Norwegian society)
The portfolio seminar 2022 addresses current topics in the fields of portfolio management and risk management both from the academic side and best practice from the market.
The seminar is an arena for the central questions in the subject area. The aim is to keep the participants up to date on the latest academic articles, but there will also be lectures on best practice in the management environment. There is plenty of room for dialogue and discussion.
Anyone with an interest in the topic is most welcome. The seminar is also intended as a networking gathering with professional training for former students from our courses and studies, such as the Portfolio study, the AFA study and FFN’s interest rate analyst course.