Jarred Sherman, Managing Director, Fixed Income Portfolio Manager at JP Morgan Asset Management

Jarred Sherman


Managing Director, Fixed Income Portfolio Manager
JP Morgan Asset Management

Check out the incredible speaker line-up to see who will be joining Jarred.

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Summit Day 1

Friday, February 6th, 2015


14:00 360° Perspective: As risk takers, how do the buy side need to adjust to risk reversal flows?

Historically, the buy side have always relied on the sell side for shepherding risk. However, due to capital constraints, the sell side cannot price risk and transfer it to their own balance sheet as freely as they could in the past. With the buy side now warehousing more risk on their books, they need to find new methods to manage this. This panel will provide thought leadership around:
  • How have capital constraints on banks impacted their ability to take on and price risk?
  • With the buy side now warehousing risk, is there enough liquidity in stressed market conditions?
  • If there was a major event, how could the buy side source funds and what needs to be done to source liquidity?
  • As the buy side can no longer rely on sell side balance sheets and prop desks, how can you find someone for the other end of a trade?