A playbook for when it feels like your whole portfolio is correlated
If it feels like your whole portfolio has moved in one direction this year, you’re not alone. Now, more than ever, investors need uncorrelated sources of return. The upcoming presentation will highlight the following topics:
> Market & Macro update through the eyes of an alternative asset manager
> Introduction & overview to liquid alternative investments
> Benefits & key considerations for a multi-strategy approach
Michael Zinkand is a Senior Client Portfolio Manager at FS Investments. FS Investments is a $34 Billion asset manager providing access to alternative sources of income and growth. Mr. Zinkand is primarily responsible for educating clients on the firm’s liquid alternatives platform but also serves as a key resource for the Firm’s cryptocurrency, real estate, and alternative credit platforms.
Mr. Zinkand has over 15 years of experience in investment research, investment oversight and sales support. He previously was a client portfolio manager with Hartford Funds and AMG Funds before joining FS Investments in 2014. Mr. Zinkand received his BS in Business Management and Marketing from Cornell University and he holds the Chartered Financial Analyst designation.