Google+
About 2011 Standard & Poor’s Investor Leadership Series

Standard & Poor’s Investor Leadership Series gives portfolio managers, research analysts, strategists, credit risk managers and other decision makers the opportunity to learn from industry leaders who together represent many decades of experience in all aspects of equity and fixed income investing and research, credit portfolio management, mathematical and statistical modeling, data management, credit modeling and management, and portfolio optimization. To learn more click here

About S&P Valuation and Risk Strategies

S&P Valuation and Risk Strategies offers a portfolio of products and services that serve the global financial markets by providing financial market intelligence and analytic insight for risk driven investment analysis within the debt, structured finance, derivative, and credit markets.

Visit http://www.standardandpoors.com/products-services/firms/en/us for more details.