Risk & Return South Africa 2012 will shed light on the latest developments and innovations
in the world of risk management and derivatives.
This will be your opportunity to stay ahead of the curve in risk management,
derivatives, dynamic investing and regulatory compliance.
The 2012 agenda is currently in production but please check the website regularly for further updates.
OpRisk North America is back! Now in it is 14th year, Operational Risk & Regulation magazine brings this well established event to operational risk professionals in North America. Attended by top industry professionals from top tier banks, regulatory organizations, insurance companies and the buy-side. The comprehensive agenda for 2012 will include discussions around the latest regulatory developments, the role of CRO and board members in the ERM framework, or the new threats to your business in the current market. This conference will also include numerous presentations on topics such as insights into high frequency trading, IT security, business continuity and fraud amongst many others.
Join fellow risk professionals at Risk's launch event, the Risk Annual Summit, taking place in London in March 2012. We will examine the latest derivatives and risk management developments, trading strategies, product innovation, and market and regulatory challenges in risk and portfolio management, investment and quantitative finance.
Risk&Return Russia is focused on new Russian regulations, indexes,
index-based investment products, derivatives, risk management issues and the most cutting-edge quantitative research.
Конференция Risk&Return Россия 2012 - традиционное мероприятие для элиты финансового рынка России. Мы вновь приглашаем вас принять участие в обсуждении состояния отрасли управления риск системами, последних достижений в количественном анализе, опыта работы западных экспертов и проблем инвестиционного и срочного рынков.
Credit Risk USA will examine how to practice sound risk management in the new world of regulation, manage risk and portfolios; focus on credit related pricing issues as well as give an update on Basel III, Sovereign debt, liquidity and counterparty risk. It is the place for risk managers to get to grips with the latest techniques, models and strategies needed to move credit risk management forwards in the new regulatory and financial landscape.
The second annual Risk and Return Brazil held in Portuguese is returning to São Paulo in 2012. Bringing together CROs, CIOs and CEOs from some of the largest banks, asset managers and life and pension providers in Brazil and abroad, this event will offer unrivalled networking opportunities as well as the chance to assess and discuss the latest developments in the industry including regulatory challenges, market and credit risk management, algorithmic trading and the latest investment strategies.
Following many successful years in Europe, Asia, Middle East and the US, Risk and Structured Products magazines are proud to announce the inaugural iRisk and Return Brasil in São Paulo. Held in Portuguese and bringing together CROs, CIOs and CEOs from some of the largest investment banks and asset managers in Brazil and abroad, the conference will offer unrivalled networking opportunities and the chance to discuss the latest developments in the industry.
You'll find the Chief Risk Officers’ forum to be an exceptional opportunity to speak with, network and learn from fellow risk professionals in a relaxed setting. The forum is designed to provide a foundation for ongoing discussion amongst you and your fellow risk professionals in the region.
Credit Risk Europe 2012 will examine the impact of the regulatory changes on the credit risk market focusing on the credit risk modelling and credit related pricing issues as well as counterparty risk evaluation and risk management in credit portfolios.