Marc Vesecky

Senior Managing Director, Quantitative Strategies Verition Fund Management

Marc is currently the Senior Managing Director, Quantitative Strategies at Verition Fund Management. Previously, he served as Head of Markets at Menai Asset Management and held the dual roles of Chief Investment Officer and Chief Risk Officer at Tower Research Capital for over ten years. Before these roles, he served as a Risk Manager at Citadel and Man Group. He started his career as an Options Trader at Societe Generale. Marc's academic credentials include a degree in Economics and an MBA from the University of Illinois.

Agenda Day 1

9:10 AM Elections, wars and the usual periodic instability...

With over 50 elections taking place in the year of 2024 and this event occurring on the eve of the US election (definitely) and the UK election (probably), wars taking place across the globe and a fragile and disrupted global economy, this panel takes a look at what this all means for the investment landscape and your portfolios, by centering the discussion around the following key themes... 


  • Constructing and managing a portfolio in the current climate, limiting risk exposure and capitalising opportunities 
  • Analysing what asset classes perform in an unpredictable market, are non-traditional assets the key to unlocking Alpha? 
  • Unchaining portfolios and funds from the over-reliance on the tandem movement of equities and bonds 
  • Onboarding and embedding the most cutting-edge technologies to improve fund performance and generate Alpha 


Check out the incredible speaker line-up to see who will be joining Marc.

Download The Latest Agenda