Webinar: Risk Management Strategies to Mitigate Drawdowns

Join BX Index for an insightful webinar on advanced risk management strategies and techniques for managing drawdowns in today's volatile market environment.
In this webinar, our expert panel will explore:
  • Understanding Drawdowns: Learn how to identify and measure drawdowns, and why they matter for long-term portfolio performance.

  • Discover innovative indexing strategies designed to mitigate risk and manage drawdowns more effectively than traditional methods.

  • Dynamic Risk Management: Explore how BX Index's strategies adapt to changing market conditions to help protect against severe market declines.

  • Balancing Risk and Return: Learn how our methodologies aim to reduce portfolio volatility and maximum drawdowns without sacrificing potential for growth.

  • Real-World Applications: See case studies demonstrating how financial advisors have successfully implemented BX Index strategies to manage risk for their clients.

  • Q&A Session: Get your questions answered by our panel of investment professionals.

Who Should Attend:
  • Financial Advisors
  • Registered Investment Advisors (RIAs)
  • Portfolio Managers
  • Risk Management Professionals
  • Anyone interested in advanced risk management techniques
Speakers:
  • Craig Cmiel, Director @ BX Index
  • Chris McHeffey, President @ BX Index