The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use.
Our global portfolio of risk management events meet those needs, as the premier meeting place for the risk community. We pride ourselves on delivering practitioner-focused content for the rapidly evolving discipline of financial risk management. The events use a variety of formats and are widely considered to be business critical.
With MiFID II due to go into effect from January 3rd 2018, regulators plan to have a fully harmonised position limit regime in place.
This webcast will be discussing the key requirements for commodity derivative position limits, as outlined by the European Securities and Markets Authority (ESMA) and the National Competent Authorities (NCA's). It will further explore what can be done to prepare for the new regime.More information
This is the 18th year of Asia Risk Awards, which recognise best practice in risk management and derivatives use by banks and financial institutions around the region. Following last year's raging success the awards ceremony will again take place in Singapore on 26 September.More information
In response to demand from reserve managers, Central Banking Publications is proud to bring you our 6th Renminbi Roundtable. In this meeting we will discuss opportunities for, and practicalities of, investing in the renminbi.More information
Designed for industry leaders in fixed income trading and portfolio management. Two-stream event covering topics on changing fixed income market structure, automation of the bond market, liquidity issues and how they are being addressed by the industry and innovations in execution quality.More information
Central Banking and Kimmo Soramäki have designed this two-day training course to provide practitioners with the latest developments and good practice methods to utilise network theory and analytics to identify points of systemic risk, analyse risk exposures and stress-test systems and players.More information
The National Asset-Liability Management Africa Symposium will provide a forum for central banks, ministries of finance, and national fund managers to come together to discuss best practice in reserve management, challenges of having non-diversified economies and achieving economic stabilityMore information
The Custody Risk Global Awards combine the Custody Risk Americas Awards and Custody Risk European Awards - plus add Asian coverage - to create an event that builds on the increasing interconnectivity in the worlds of custody, fund administration and securities servicesMore information
Over three days the course will provide in-depth training on all aspects of the revised 2016 FISD/FIA examination syllabus, preparing attendees to take the FISD examination and giving them a comprehensive understanding of the technical and administrative aspects of the Market Data industry.More information
Bringing together North America's leading thinkers on risk management and regulation, a concise, one-day conference will feature senior keynote speakers, in-depth industry panel discussions, and information-rich presentations to help you stay up to date with the latest developments.More information
Structured Products is pleased to announce its 13th annual conference in November 2017, which will bring together top UK and European senior executives from investment banks, regulators, private bankers, issuers, index providers, asset managers, IFAs, pension funds and insurance companiesMore information
Structured Products runs three global awards programmes - for the Americas, Asia, and Europe - to celebrate excellence across the structured products markets. The Structured Products awards are the industry's most prestigious honour, designed to recognise the top buyside and sellside firms.More information
Now in its 10th year, Energy Risk Asia will be taking place in November in Singapore. This is the event for professionals dealing in the risk management, intensive consumption and trading of energy across the region to discuss the latest regulatory developments and technology enhancements.More information
This training course will look into ways to manage your balance sheet in order to meet regulatory requirements and achieve higher profitability. Through case studies and scenario analysis, this course will help you discover new strategies in the planning of the bank balance sheet and profile.More information
FX Week Europe will return to London in November 2017 to provide you with the latest information on the global foreign exchange market. This one-day two-stream conference will provide you with essential coverage of how new advances in FX are changing the role of industry participants.More information
FX Week is proud to present the 10th annual FX Invest Europe conference, bringing together leading buy-side practitioners in the fast developing foreign exchange and currency markets. It is a must-attend event for those who want to better understand the implications of recent market developmentsMore information
OpRisk Europe offers the platform to network with heads of operational risk, top regulators and Chief Risk Officers. OpRisk Europe covers the latest regulatory developments, the role of CRO and board members in the ERM framework, and the new threats to your business in the current market.More information