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This session will discuss investment governance considerations when evaluating unlisted investments – risk versus reward; oversight of valuations, how to mitigate and manage the need for significant revaluation should it occur.
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Director, Investment Advisory, PwC
Naresh is a leader in PricewaterhouseCoopers investment consulting practice and Authorised Representative (#1264237) of PricewaterhouseCoopers Securities Ltd.

He has over 20 years of experience in investments including working for several Fund Managers, Superannuation funds, Insurers and Global Custodians. He has helped many firms in developing future operating models having regard to emerging trends, digitisation and leveraging investment systems.

Naresh leads a team of investment experts who provide independent investment governance/oversight and operational effectiveness advice to boards and senior management to assist with improving their investment decision making and investment outcomes to investors.
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Regional Head of Private Capital APAC, BNP Paribas Securities Services
Cleyde Hazell has been back with BNP Paribas since May 2016 and is the APAC regional head of private capital within the alternatives client line for BNP Paribas Securities Services.

Cleyde has over 25 years of experience in the banking, financing and management industries, the last 18 years working in the Australian financial services industry with predominantly leadership roles at the Commonwealth Custodial Services managing the sub-custody and securities lending teams.
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Head of Private Markets Risk, QIC
Francis is Head of Risk for QIC’s private markets investment divisions. Francis was previously the Chief Compliance Officer & Head of Risk for QIC’s US business. He has played a key role in developing QIC’s Risk Management Framework and Valuations Management Framework, and has worked extensively with QIC’s infrastructure, private equity and real estate teams on risk management and valuations. Francis has 20 years of experience in investment management and asset management in Australia, the USA, UK and Ireland. Prior to joining QIC, he worked at Suncorp Investment Management, Deutsche Bank, Goldman Sachs and Daiwa Securities Trust and Banking.

Francis holds a Bachelor of Science (Honours) from Trinity College Dublin and a Graduate Diploma in Applied Finance and Investment from the Financial Services Institute of Australasia. Francis has also completed the FINRA general securities representatives exam (Series 7) and the general securities principal exam (Series 24). Francis is a member of QIC’s Global Infrastructure, Real Estate, Private Capital Investment Committees.
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Head of Investment Risk, APRA
Geoff leads the investment risk team within APRA’s superannuation division. Prior to joining APRA in September 2021, Geoff was head of investment advisory at TCorp, having transferred from NSW WorkCover in 2015 where he commenced as director, investment management in 2013. Geoff’s previous roles include research and portfolio construction roles at Challenger and Macquarie, investment consulting at Mercer and analytics at CBA and AMP Capital.