Date: Friday, March 20, 2026
Time: 10:00 am – 11:00 am GMT
Periods of market uncertainty place investor relations teams under increasing pressure to communicate clearly, anticipate investor concerns, and support internal decision-making with credible, timely data. At the same time, fund managers and buy-side analysts are navigating their own challenges — shifting capital allocation, evolving risk frameworks, and heightened scrutiny from stakeholders.
This panel brings together a Corporate Advisory perspective, a Head of Investor Relations, and a data provider to explore how IR functions can best position themselves in volatile markets. We will discuss:
- Which stakeholders matter most in times of uncertainty
- How investor expectations change
- What data truly informs decision-making
- How technology and partnerships can help IR teams stay proactive rather than reactive
Attendees will leave with practical insights into:
- How to sharpen IR strategy
- Prioritize the right data
- Build trusted relationships when clarity matters most
Speakers

Lorna Davie – Moderator
President, former Director IR
Credit Suisse IR Club Switzerland

Morgan Baccari
Founder of S&P Global’s Situational Analytics team
S&P Global Market Intelligence

Patrick Yau
Director of IR
Ceres Power

Caroline Learmonth
Partner
FGS Global