The European Debt Crisis, Quantitative Easing, and Basel III; An Outlook for 2011
Summary: As we look forward to 2011, opportunities and questions abound. Actions by central banks, uncertainty about sovereign creditworthiness, and the looming imposition of new global financial regulations all add to the challenge of investing successfully. We believe these new challenges, however, create new opportunities for investors who are prepared for a range of scenarios. Please join Ron Temple, Managing Director and Portfolio Manager/Analyst, as he discusses the potential implications of policy decisions and provides his outlook for the year ahead. Featured Speaker: Ronald Temple, CFA Managing Director, Portfolio Manager/Analyst Ronald Temple is a Portfolio Manager/Analyst on various U.S. equity teams, as well as the Global Equity Select team. He is also Co-Director of Research and has primary research coverage of the financials sector. Ron has been a leading authority on the mortgage and credit crisis. He joined Lazard in 2001 with ten years of global experience including fixed income derivative trading, risk management, corporate finance and corporate strategy in roles at Deutsche Bank AG, Bank of America NT & SA and Fleet Financial Group in London, New York, Singapore, San Francisco and Boston. Ron has an MPP from Harvard University and graduate magna cum laude with a BA in Economics & Public Policy from Duke University. Ron serves as a trustee of the Link Community School in Newark, New Jersey and is a member of the Trinity Board of Visitors at Duke University.