This autumn, from 30 September to 3 October, the professional energy community will gather in London for four days of cutting-edge discussions and networking with fellow industry peers at the 17th annual Energy Risk Summit Europe.
The 10th annual FX Week Asia will deliver cutting-edge perspectives on trading strategies, the global economic outlook and regulatory updates – all packed in a
one-day two-stream intensive conference agenda. A must-attend event for all FX
professionals in Asia.
Over 250 senior foreign exchange professionals attended last year. Visit our website to find out more about Asia’s premier annual congress for foreign exchange professionals.
Risk is proud to announce the timely return of the Risk Derivatives Clearing Europe conference which will be held on 14 October 2014 in London!
Focusing on the most recent developments revolving around European derivatives clearing, this one-day event will aim to shed some light on remaining concerns of the buy-side community, and how they can prepare their businesses to support the vision of safer, more efficient and more liquid OTC markets.
Risk has designed a two day course in order to offer attendees practical guidance on managing model risk in both risk models and pricing models. This course will also provide attendees with increased knowledge of how to implement model validation methods across risk types and asset classes in their institution.
We’re back! Risk USA is returning to New York for the 20th annual conference this
October and to celebrate we have some fantastic new additions in store for you…
Leveraging Risk’s editorial insight and developed through
in-depth research with senior professionals actively involved
in the marketplace, this year’s event o ers four days of
world-class keynote and plenary sessions, multiple streams
of cutting edge presentations, focused workshops, and
unrivalled networking opportunities.
Risk is delighted to announce that the inaugural Risk Behavioral Finance Forum will be taking place this October 23rd in New York. Join us for a day of networking and discussion as we explore behavioral finance for investment managers, traders and risk professionals.
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 stability, ensuring liquidity and preserving national wealth.