For the last decade, investors and risk managers have faced both economic and regulatory challenges. The intersection of global derivatives and capital related regulations are expected to increase the need for liquidity and over the longer term create a collateral squeeze. Banks and buy-side firms have set their priority: how can they adapt to this ever-changing landscape?
Risk Canada will cover these most critical issues, exploring advances in information technology, the move towards a more integrated approach to risk management, deliver hard-hitting insights into the industry and provide optimal networking opportunities.
Complimentary (Banks, Asset Management Firms, hedge funds, pension funds): USD 0
Early Bird Rate (Available until April 15, 2016): USD 849
Standard Rate (Applicable after April 15, 2016): USD 1199
Category: Conferences | Business and Economics | Finance
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