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Event

Digital Solutions Amid a Physical Storm to Accelerate & Enhance Buy-Side Due Diligence

Hosted by FLAIA
March 18, 2021
15:30 PM - 16:00 PM
Keynote
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FLAIA launched an online digital platform in 2019 and has made great strides in rolling it out to supplement the Buy-Side Discovery and Due Diligence process. FLAIA designed the platform to conform to the rigors of a busy life not knowing that people would be further hindered by COVID -19. The platform uses investor preferences and deal highlights to make a market in alternative investments with the mission and vision of being the world's leading marketplace for alternative investments and alternative investment education. Michael Corcelli, the Founder & Chairman of FLAIA will demonstrate the platform in real time showing how the deal marketing, due diligence and fund raising process is fully digital and compliant with securities rules, regulations and compliance.

  • Creating a process to look at investment opportunities in 2021
  • How to use the digital environment to uncover exceptional investment opportunities and express your macroeconomic view
  • Staying on top of your current investments by looking at similar investments online
  • Using the current environment to shape your relationships with your asset managers
  • How to supercharge the due diligence process from the comfort and safety of your home or office

Recording

Digital Solutions Amid a Physical Storm to Accelerate & Enhance Buy-Side Due Diligence

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Speakers

Michael Corcelli
CEO & CIO @ Alexander Alternative Capital GP

About

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Alexander Alternative Capital GP, LLC is a macro economic hedge fund that starts with top down macro economic analysis looking at G10 countries and their respective macro economics opportunities and threats. Then we go a step deeper and look at asset prices, interest rates, trade flows, geo political issues and macro enonomic trends. After the analysis is complete, we use a bottom up fundamental research to identify the absolutely highest probablity events with optiized expresssion and clearly defined triggers. Our risk management process is holistic and built into ever piece of portfolio construction. We beleive that risk management is done properly when risk tolerance is matched with portfolio volatility. We carefully analyze our position size and expected risk reward of every underlying position.