Sandra Crowl, Carmignac

Sandra Crowl Sandra Crowl graduated with a Bachelor’s degree (Economics) from the University of Melbourne, Australia, and is a Charterholder of the Chartered Alternative Investment Analysts Association (CAIA). She founded the first part of her career in Investment Banking, at Bankers Trust in Australia, Paris, and then London, where she was a Managing Director. In 2003, moving into the funds management industry, she worked in hedge fund seeding at New Alpha Advisers, in Paris. In 2007, she joined Carmignac as Head of Product. Since 2011, she is a Member of the Investment Committee and heads up the Socially Responsible Investing initiative at Carmignac.



Sustainability in finance – between green investment funds and sustainability risk management

  • EU sustainable finance principles
  • Taxonomy test and sustainable risk assessment
  • Eco label
  • Disclosure requirements
  • Asset manager and investor views
  • Sandra Crowl

    Sandra Crowl Stewardship Manager, Member of the Investment Committee Carmignac


Meeting regulator's expectations on liquidity risk management in the asset management industry

  • Rationale behind the revision of the regulatory framework
  • Impact and implications of the COVID crisis
  • Key challenges, attention points and practical considerations to best implement the revised regulatory framework


Risk management for real assets – 2020

  • Liquidity Risk Management for Real Assets
  • Covid 19 considerations for Real Assets


Managing technology risks – what are asset managers currently doing?


Regulatory developments

The European regulatory framework and the Luxembourg regulator: overview and outlook

Also speaking at