Risk.net Events

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.

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Energy Risk Regulatory Update London
  • London, UK

Learn how to comply with MiFID II, EMIR, REMIT & MAR and the operational implications they have. Additional sessions include renewable energy trading and sustainable development and best practice approaches to staying compliant with evolving technologies in energy markets.

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OpRisk Asia
  • OpRisk Asia

Featuring a stellar line-up of industry thought leaders, Operational Risk Asia will reflect the ebb and flow of industry trends and delve deep into everything from next-generation ORM and GRC to adaptive scenario analysis and cyber risk quantification. This is the only place where you can network with the most influential players in the APAC op risk community.

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IBM Roundtable Series Paris
  • Paris, France

Join IBM for a gathering of senior risk and compliance executives to explore what strategies financial institutions are using to manage risk, improve processes and outcomes and meet regulatory and compliance requirements.

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ALM and Balance Sheet Optimisation Toronto
  • Toronto, Canada

Come and learn how to optimise your balance sheet and implement and improve ALM strategies whilst focusing on the changing regulatory environment. Sessions will include insight on FTP and liquidity reporting, behavioural modelling and interest rate risk, capital management, Basel III/Basel IV and machine learning in balance sheet management.

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Risk Japan
  • Risk Japan

The conference consistently delivers cutting-edge insights and intelligence on the latest financial innovations, risk management strategies, tech advances and regulatory developments.

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Risk Japan (JP)
  • Risk Japan (JP)

本カンファレンスは、金融業界の最新イノベーション、リスク管理戦略、テクノロジーの進歩、規制環境の変化等のトピックについて、最先端の識見と情報を常に提供してきました。

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Model Risk Management New York
  • New York, USA

Model Risk Management New York course has been designed to delve into best practice approaches to building a model risk framework. You will be equipped with a thorough understanding of model risk now and into the future, including the impact of machine learning.

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Collateral Management Forum (JP)
  • Collateral Management Forum (JP)

Asia Risk誌が主催する第5回Collateral Management Japan forumが開催されます。本フォーラムは、金融、リスク管理のプロフェッショナルに、刻々と変化するOTCデリバティブ市場規制への対応、清算および決済の実践的戦略、担保管理の最適化についてのベストプラクティスをお話し合いいただく絶好の機会です。 Collateral Management Japan forumは、規制当局、財務管理の専門家、リスク管理実務者やOTCデリバティブのエキスパートが一堂に会し、本邦デリバティブ、レポおよび証券市場の展望、新たな規制に対処するための戦略、担保管理最適化のための有効な方法、トレーディングコスト軽減のための新手法などについて意見を交わします。 毎年、Collateral Management Japan forumには、金融界の第一線で活躍するプロフェッショナルが集まり、金融規制改革の影響や清算集中されないデリバティブ取引のマージン管理に関するベストプラクティスについて意見を交わします。

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Collateral Management Japan Forum
  • Collateral Management Japan Forum

Join leading regulators, treasury and risk practitioners and OTC derivatives experts to discuss the outlook for Japanese derivatives, repo and securities markets; strategies in complying with new regulations, effective ways in collateral optimisation and innovative ways in managing trading costs.

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Operational Risk Management - Amsterdam
  • Amsterdam, Netherlands

This training programme will provide delegates with a new or improved understanding of operational risk management, providing case studies and knowledge from a wide range of speakers from different companies and industries. Sessions will cover; governing and implementing an op risk framework, risk a

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IBM Roundtable Series North America
  • Boston, USA

Join IBM for a gathering of senior risk and compliance executives to explore what strategies financial institutions are using to manage risk, improve processes and outcomes and meet regulatory and compliance requirements.

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IBM Roundtable Series San Francisco
  • New York, USA

Join IBM for a gathering of senior risk and compliance executives to explore what strategies financial institutions are using to manage risk, improve processes and outcomes and meet regulatory and compliance requirements.

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Hear how leading financial firms are transitioning from a Libor dependant landscape
  • UK

The world's most important number ­ the London Interbank Offered Rate ­ the reference interest rate for a staggering $240 trillion worth of financial products, is soon to be phased out. Driven largely by the Libor-fixing scandal, banks and regulators alike are striving for reliable reference rates that are based on observed market prices. The final instalment of our three part series, join leading financial institutions as they explore: 

  • Anticipating the future: how will this shift impact operating models, pricing contracts and risk management
  • Conduct and legal risk: key considerations
  • Alternatives SONIA, SOFR and ICE: benefits and challenges
  • Cash market and infrastructure challenges
  • Making quality information and data a priority 
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Machine Learning New York
  • New York, USA

This two day training course will provide delegates with a comprehensive understanding of machine learning applications. Sessions will cover in-depth the technical aspects of machine learning and provide suggestions and strategies for integrating it within your organization.

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Cyber Risk Management London
  • London, UK

We are bringing our cyber risk course to London for the second time to provide delegates with best practice strategies for ownership of cyber risk management and business wide implications such as third party vendor risk and operational resilience.

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IBM Roundtable Series Boston
  • IBM Roundtable Series Boston

Join IBM for a gathering of senior risk and compliance executives to explore what strategies financial institutions are using to manage risk, improve processes and outcomes and meet regulatory and compliance requirements.

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Risk Model Validation Dublin
  • Risk Model Validation Dublin

Risk Training is delighted to offer this specialist training course which has been designed to focus on the assessment of risk models in the context of concrete risk model implementation. There are numerous validation tools available, and the course will individually describe these tools and their a

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Risk Model Validation London
  • Risk Model Validation London

Risk Training is delighted to offer this specialist training course which has been designed to focus on the assessment of risk models in the context of concrete risk model implementation. There are numerous validation tools available, and the course will individually describe these tools and their application in practice.

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XVA: Credit, Funding and Capital Valuation Adjustments London
  • London, UK

There are many practical, regulatory and technological challenges organisations face when dealing with XVAs. This two day training course has been designed to help you tackle these complexities. Throughout the course, we will assess the links between different XVAs, and address the challenges cause

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Key Risk Indicators and Appetite Risk - Dublin
  • Key Risk Indicators and Appetite Risk - Dublin

This seminar offers a full review of the role and attributes of KRIs in financial services. It clarifies some confusing ideas about KRIs and offers insight on their role in a risk management framework. The seminar also reviews many examples of the best performing KRIs in banking and financial market

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OpRisk North America
  • New York, USA

This industry must-attend conference gathers 500+ senior operational risk directors from leading tier 1 banks, buy-side firms and regulators from across the globe.

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Structured notes: How traders and issuers can reduce the complexities of structured products
  • UK

Structured notes are complex and in 2019 we’re observing a big push for diversification and a new focus on repricing resulting in new complexities and challenges for the structured products market.

We’ll discuss how you can manage diversification whilst dealing with declining markets and at the same time grow your business.

Staying on top of product innovation and understanding the automation and electronificaion of trading is key to overcoming complex derivatives and structured notes. This webinar provides transparency to the current and changing status of structured notes which will aim to help you manage these challenges.

In this webinar you will learn:

  • The historic popularity, competitive perspective and the evolution of structured notes
  • How to manage the complexity of hedging notes, accounting for volatility spikes and reasonable costs
  • How to participate on a multi dealer platform and why this is emerging as common interaction
  • New product innovations and how to manage/introduce in your organisation
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XVA Singapore
  • XVA Singapore

A two-day workshop will provide attendees with an overview of the current challenges facing the industry in the world of XVA.

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RegTech Course London
  • London, UK

Gain a new or enhanced understanding of RegTech in financial services and how to ensure your company is suitably up-to date and prepared.

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Risk Hong Kong
  • Hong Kong, Hong Kong

Our one-day forum will be split into two streams allowing you to choose which sessions best suit your profile, gain from the ideas being discussed by our thought-leaders and break away for networking opportunities with others you share your interests.

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Machine Learning London
  • London, UK

Machine Learning in Finance, London - sessions cover opportunities and limitations, models, ML for trading, and future opportunities.

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Model Risk Management Summit
  • London, UK

Model risk management, model validation, meeting rising regulatory requirements, ensuring supervisors can assess whether risks are being mapped correctly and consistently and other key issues impacting the banking sector today.

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Liquidity & Funding Risk Summit
  • London, UK

Developed through extensive market research, Liquidity & Funding Risk will feature a cutting-edge agenda with industry speakers at the forefront of this field. Join us in London to make certain that you have a robust asset and liability management strategy in place to ensure that you keep up to date

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Risk Live 2019
  • London, UK

Risk Live is a pioneering festival of learning, connecting up to 500 industry leaders and disruptors from the entire risk ecosystem. Join Duncan and his team to unpick the issues of today and answer the complex question – what is the future of risk?

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Quant Summit USA
  • New York, USA

The annual Quant Summit USA returns to New York on July 17-18, 2019 with an agenda highlighting the biggest trends in the industry and showcasing the latest research in these areas.

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Structured Products Washington
  • Washington DC, USA

Risk.net's Structured Products Washington D.C. conference will be back in 2019! The program showcases the latest developments in the legal, regulatory and compliance landscape for structured products. The conference will gather 100+ senior structured product professionals from across North America

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Model Risk Australia
  • Model Risk Australia

This two-day workshop has been designed to delve into best practice approaches to building a model risk framework. Attendees will be equipped with a thorough understanding of model risk now and into the future, including the impact of machine learning.

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XVA Australia
  • Sydney, Australia

A two-day workshop will provide attendees with an overview of the current challenges facing the industry in the world of XVA.

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Risk Australia
  • Risk Australia

Asia Risk is delighted to present our 13th annual Risk Australia conference, the leading incubator for risk practitioners and investment professionals to share best practices in financial risk management in the region.

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Machine Learning Japan
  • Machine Learning Japan

This training course will provide delegates with an in-depth, technical understanding of machine learning applications, models, and more advanced tools and solutions through a quantitative approach.

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Machine Learning Japan - JP
  • Machine Learning Japan - JP

定量アプローチを通じて、機械学習の活用法、モデル、より高度なツールとソリューションについて、徹底的に技術的側面を学ぶトレーニングコースです。

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Deposit Modelling Frankfurt
  • Frankfurt, Germany

Hear from senior practitioners and learn best practice approaches for deposit modelling through various treasury functions including FTP, IRR & liquidity

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Model Risk Management London
  • London, UK

A comprehensive overview of the current regulatory landscape of model risk management and best practice approaches for modelling across, risk pricing and credit models.

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Deposit Modelling Amsterdam
  • Amsterdam, Netherlands

Hear from senior practitioners and learn best practice approaches for deposit modelling through various treasury functions including FTP, IRR & liquidity.

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Risk Model Validation
  • London, UK

Risk Training is delighted to offer this specialist training course which has been designed to focus on the assessment of risk models in the context of concrete risk model implementation. There are numerous validation tools available, and the course will individually describe these tools and their application in practice.

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Recovery and Resolution Planning London
  • London, UK

Gain a new or enhanced understanding of recovery and resolution planning. Sessions will cover topics including valuation and funding within resolution and best practice approaches to establishing the core elements of recovery planning within your organisation.

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Key Risk Indicators New York
  • New York, USA

Through a combination of presentations and practical exercises, this seminar offers a full review of the role and attributes of KRIs in financial services. It clarifies some confusing ideas about KRIs and offers insight on their role in a risk management framework. The seminar also reviews many examples of the best performing KRIs in banking and financial markets activities and proposes a step by step methodology to select and design preventive KRIs.

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Credit Risk Modelling - London
  • London, UK

Join our credit risk modelling training course and learn about the implications of Basel IV, how IFRS 9 models can be used for stress testing and how to utilise AI and Machine Learning for managing credit risk.

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Asia Risk Congress
  • Singapore, Singapore

Asia Risk is delighted to present the annual Asia Risk Congress, Asia's leading risk management, derivatives and regulation event. The Congress consistently delivers cutting-edge insights and intelligence on the latest financial innovations, risk management strategies, tech advances and regulatory developments.

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Asia Risk Awards
  • Singapore, Singapore

This is the 19th year of Asia Risk magazine's awards, which recognise best practice in risk management and derivatives use by banks and financial institutions around the region.

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Overcoming IFRS9 Challenges
  • Overcoming IFRS9 Challenges

This course will provide attendees with an in-depth understanding of IFRS 9. Across the two days the sessions will cover a variety of need-to-know topics including governance, hedge accounting, and stress testing under IFRS 9.

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OpRisk Hong Kong
  • OpRisk Hong Kong

This course will bring together operational risk professionals from across the region and provide an unmatched opportunity to learn about and discuss a wide diversity of operational hazards and the evolving thinking on how to handle them.

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Advanced Operational Risk Management London
  • London, UK

This two day training course will examine the key elements of an operational risk management framework and provide guidance on how these elements can be built upon to achieve a more comprehensive and efficient framework.

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FRTB Hong Kong
  • FRTB Hong Kong

This two day course will discuss the current regulatory status of FRTB, implementation challenges and ways of approaching the approval process.

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Energy Risk Europe
  • London, UK

Energy Risk Europe, now in its 22nd year, is a must attend event for senior energy risk managers, traders and compliance officers from across Europe.

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Cyber Risk Modeling New York
  • New York, USA

This course will cover risk management and quantification and the importance of data to assess cyber risk. There will be practical examples of portfolio modeling in the insurance industry ad cyber risk modeling in financial institutions.

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Risk USA 2019
  • New York, USA

Risk.net's award-winning conference, 25th annual Risk USA, is the eminent risk management event for North America's top tier banks, buy-side participants and industry regulators.

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Risk South Africa 2019
  • Risk South Africa 2019

In its 12th year the Risk South Africa event presents an indispensable combination of the latest tools, practical strategies, regulation and marker insights from more than 30 top South African and international practitioners and superb networking opportunities with around 200 senior professionals in the luxurious surroundings of Cape Town’s top hotel. Book now to secure your early bird rate!

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Risk Model Validation Frankfurt
  • Frankfurt, Germany

Risk Training is delighted to offer this specialist training course which has been designed to focus on the assessment of risk models in the context of concrete risk model implementation. There are numerous validation tools available, and the course will individually describe these tools and their application in practice.

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HFR European Performance Awards
  • London, UK

Being recognised at the Hedge Funds Review European Performance Awards 2018 is the high point of any single manager or fund of hedge fund operating in Europe. The awards are recognised as the most prestigious for the European hedge fund industry.

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Risk Awards
  • London, UK

The Risk Awards are the longest-running awards of their kind and are widely recognised as the most prestigious for firms and individuals in our markets.

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