Investing 101: Structured Products.
About this webinar.
The first quarter of 2025 has brought sharp swings in the markets, leaving many investors unsure whether to prioritise protection or pursue opportunity. Inflation, low growth forecasts, and elevated volatility have only added to the challenge of making sound investment decisions.
Structured products offer a powerful solution—allowing you to balance capital preservation while maintaining the potential for attractive returns.
Join us for an exclusive structured product webinar on 4 April at 12h00, where Senior Analyst Viv Govende andPortfolio Manager Gary Booysen of Rand Swiss will break down how structured products work and reveal our top pick for the quarter—specifically chosen to perform in today’s market conditions.
Whether you’re looking to hedge against inflation, protect your capital, or position your portfolio for growth, this session will help you invest with clarity and confidence.
THIS WEBINAR WILL COVER:
- A market overview – recent trends, key drivers of volatility, and our outlook for the quarter ahead
- Returns & capital protection – balancing growth potential with built-in risk management
- Costs, fees & tax considerations – how fees and tax treatment affect overall performance
- Liquidity & exit strategy – what to know if you need to exit before maturity
- Currency & market exposure – weighing local vs. offshore options in a turbulent environment
Our top structured pick for Q1 revealed – don’t miss out!
Gary Booysen and Viv Govender will also reveal our top structured pick for this quarter, ideal for today’s market conditions.
Speaker.
Viv Govender
Senior Analyst, Rand Swiss
Viv is a senior analyst and investment specialist, focusing on international and local markets. He frequently appears in the media, contributing to channels such as: SABC, CNBC, SAFM, 702 and ETV. He is also a regular guest lecturer at a number of prominent business schools and advanced education programmes, and previously lectured at tertiary institutions such as UKZN and DUT.
Gary Booysen
Portfolio Manager, Rand Swiss
Gary is an avid market commentator who features regularly on CNBC, SABC, BDTV and ENCA. He also contributes to a variety of radio broadcasts including 702 Money Show, HOT102.7 and SAFM, as well as a variety of print media publications. As a portfolio manager at Rand Swiss, he specialises in bespoke portfolio construction, securities broking and trade execution.