Active Portfolio Management & Asset Allocation

Course

Length

5 Days

Type

Classroom

Course ID

AFBL1205

Recognised By

Recognised organisation
VenueAvailable Date
London29-06-2026
London06-07-2026
Dubai12-07-2026
Amsterdam20-07-2026
Milan20-07-2026
Singapore27-07-2026
Barcelona03-08-2026
Kuala Lumpur17-08-2026
Istanbul24-08-2026
Paris31-08-2026
Singapore07-09-2026
Barcelona14-09-2026
Kuala Lumpur21-09-2026
Istanbul28-09-2026
Paris05-10-2026
London12-10-2026
Dubai18-10-2026
Amsterdam26-10-2026
Milan26-10-2026
Istanbul02-11-2026
Paris09-11-2026
London16-11-2026
Dubai22-11-2026
Amsterdam30-11-2026
Milan30-11-2026
Singapore07-12-2026
Barcelona14-12-2026
Kuala Lumpur28-12-2026

Modern investment management demands a proactive, research-driven approach. Portfolio managers face the challenge of outperforming benchmarks while managing risk across multiple asset classes in dynamic market conditions. Passive strategies are no longer sufficient to meet client expectations and regulatory standards.

The Active Portfolio Management & Asset Allocation course equips participants with knowledge of portfolio construction, asset allocation strategies, performance attribution, alpha generation, and risk management. Over five days, participants explore equity, fixed income, alternative investments, structured products, and tactical allocation techniques through case studies and simulations.

By the end of the course, participants will be able to build robust, diversified portfolios aligned with investor objectives and market conditions.