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12th Annual HED Conference

November 17, 2021 @ 8:00 AM - 5:00 PM GMT


Reviewing 2021, standing at the historical intersection of “two centenaries”, China has a clear strategic goal of “Peak CO2 Emissions and Carbon Neutrality”. Looking ahead 2022 and developing a new stage, the asset management industry should seize the opportunities and focus on building a new development pattern, then improve investment research capacity and service level from both sides of capital supply and demand, it provides an important driving force for China’s economic innovation driven development and a necessary support for the preservation and appreciation of residents’ wealth.

For exchanging the direction and strategy of major categories of asset allocation deeply, “12th Annual HED Conference” will be grandly held by FinFo Global on Nov 16th 2021. The conference will cover 400-500 institutional leaders from governments, associations, banks, securities, futures, asset management institutions, mutual funds and private equity, asset management technology, etc. The conference focuses on quantitative, fixed income, FOF, bonds, asset management technology and other topics, discussing the new development of various asset management institutions in the era of great asset management.

HED (Hedge Fund, ETF, Derivatives) is a grand conference planned and operated by FinFo Global for China asset management industry since 2014, it has been successfully running through 11 editions, and JIEFU Awards are presented in the conference.

HED Conference focuses on China securities investment fund market, including banks, insurance companies, securities, futures, fund managers, trusts, wealth managers and so on. There were over 700 speakers and 4,000+  guests in the past 11 conferences.


The key topics will be including but not limited to: 

The New Opportunities of Asset Management Industry under Carbon Strategy;

Global Asset Management Giant Perspective: The Accelerated Opening Chinese Market;

Long-term Investment Strategies and the Effectiveness of Value Investing;

ESG Investment in Huge Market Shocks such as Covid-19 Pandemic and Net-zero Emission;

Asset Allocation in the Changing Situation: Fixed Income、Equity and Bond;

Quantitative Enhanced Index Strategy in the Differentiation and Rotations Market;

Technology Enabled Quantitative Trading;

Investment Opportunities for Industry Segment ETF;

Strategic Management of Futures and Derivatives under Structural Market;

Optimization and Iteration of Medium and High Frequency Trading Strategy;

How do Mutual Fund FOF Offer the Asset Allocation of Listed Companies?;

Diversified, Multi-Strategy configurations of FOF;

The Investment Strategies and Hedging Instruments of Securities FOF;

& more


November 17, 2021
8:00 AM - 5:00 PM GMT


Shenzhen, China


FinFo Global