Europe EQD 2025

Feb 10 – 11, 2025

Barcelona | Europe

Registration closes: February 7 2025
Book your room by: January 10 2025

Attendance is for investors, asset managers, non-bank sellside and sponsoring banks only.

You must register to secure a spot in the room. Registrations are subject to approval.

Featured speakers

Join your peers at Europe EQD 2025 – the largest multi-asset, volatility and cross-asset systematic investing forum for institutional investors.

Tap into new perspectives across multi-asset investing, volatility, tactical asset allocation and global macro as well as the latest systematic approaches in alternatives, commodities and illiquid assets.

The 9th annual Europe EQD event will feature exclusive presentations and panel discussions from leading researchers, portfolio managers and industry practitioners in quantitative strategies.

This year will feature private roundtable discussions* on multi-asset investing in portfolio construction, volatility, QIS strategies and opportunities in illiquid assets. Register to find out more and choose your roundtable.

*Roundtable discussion topics and details are subject to change. Eligible attendees will be notified of final topics and details closer to the date of the event.