May 23rd, 2014, Zagreb

Provisional Agenda

Emerging Markets after the Quantitative Easing, 3rd Annual Zagreb School of Economics and Management Annual Financial Conference

Zagreb, May 23rd, 2014
Zagreb School of Economics and Management

May 23rd, 2014 (Friday) – Updated Agenda
08:00-08:45

Registration and Coffee

08:45-09:00

Welcome and Opening Remarks
Dr. Mato Njavro, Zagreb School of Economics and Management

09:00-10:00 (45 min Presentation, 15min Q&A) Politics and markets: Less systemic, more specific – a overview of global EM risks
Alastair Newton
, Senior Political Analyst (Nomura)
10:00-10:30 Emerging Markets after the Quantitative Easing
Christian Keller, Managing Director and Head of Global Emerging Markets Research (Barclays)
10:30-11:15

Global Macro Panel
Christian Keller, Managing Director and Head of Global Emerging Markets Research (Barclays),
Piotr Kowalski, Head of Fitch Ratings for Poland and Central and Eastern Europe
Alastair Newton, Senior Political Analyst (Nomura International)
Saša Pekeč, Associate Professor, The Fuqua School of Business, Duke University
Petar-Pierre Matek, President of the Board at Croatian Financial Services Supervisory Agency

Moderated by: Kreso Marusic (Deutsche Bank)

11:15-11:30

Session Break

11:30-12:15

CEE: Macroeconomic developments and prospects
James Roaf,
Senior Resident Representative heading the IMF’s Regional Office for Central and Eastern Europe

12:15-13:30 Lunch Break

13:30-14:30

 

 

Panel Discussion:
Different approaches to the process of privatization in the region: Cases of Poland, Romania, Slovenia, Italy and Croatia.

InterCapital

(Sponsored by InterCapital)

Dr. Ludwik Sobolewski, CEO of Bucharest Stock Exchange
Prof. Stefano Bonini - Professor of finance at the Bocconi University
Vedrana Jelusic Kasic, EBRD Director for Croatia
Matej Runjak - Head of Slovenian State Asset Management Company
Mladen Pejnović, Head of State Office for Managing National Assets

Moderated by: Kreso Marusic (Deutsche Bank)
14:30-14:45 Session Break
14:45-15:45
A brief pantology of technical analysis
Tom Pelcz
, Co-Head of Macro Technical Strategy, Nomura
15:45-16:30
Workshop by Barclays
Practical applications of derivatives for borrowers.
Implications of recent capital and regulatory reforms
Marcin Burda
, Director, Risk Solutions Group, Barclays
16:30

Closing Remarks & Conference Adjourns

20:00-23:00

Gala Dinner at Palace Dverce

   

*The organizer reserves the right to change the schedule.