Risk is proud to present Quant Europe 2015, our annual conference showcasing the latest innovations in derivatives price modelling, risk management and quantitative strategies being adopted by leading financial institutions.
Over the past ten years, this conference has provided a perfect meeting point for the quantitative finance community to present new research, cutting-edge practical applications and invaluable insights that attempt to tackle some of the most urgent challenges in the field of derivatives modelling, pricing, quantitative trading and risk management.
The Buy to Let Market Forum, brought to you by Mortgage Solutions, provides a platform for you to meet buy-to-let experts who will investigate these issues. This event will provide the insight to enable you to position yourself at the forefront of an evolving and exciting market.
Cardiff, Birmingham, Winchester and Warrington, UK
Join key industry figures in Japan to gain insights on the latest in OTC derivatives clearing, collateral management, securities lending and repo trading in the region. The Japan Collateral Management Forum will bring together regulators, treasury professionals, and institutional investors to discuss the outlook for Japanese derivatives, repo and securities markets; tactics to optimise collateral management in a new trading environment; and strategies to thrive under a new regulatory landscape.
The mortgage industry has seen substantial changes and significant
casualties. Yet, in spite of these demanding times and the well publicised
upheaval, fine work is still being done by individuals within the intermediated
It is unquestionable that, in this challenging market, individual excellence
should be acknowledged.
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.
La 6a conferenza annuale Risk & Return Italia torna a Milano il 13 novembre, per presentare gli ultimi sviluppi del mercato finanziario italiano, nonché le novità in campo normativo europeo. La conferenza tratterà molti argomenti, tra cui la gestione del rischio, i diversi approcci all'esposizione al rischio, le nuove normative per il settore dei fondi e dei derivati, il mercato dei prodotti strutturati, la creazione di un portafoglio, le strategie d'investimento in un ambiente a basso rendimento e tanto altro.
Grazie all'esperienza editoriale di Risk, Structured Products ed Insurance Risk, Risk & Return Italia è in grado di offrire un programma completo, ricco di discussioni utili con esperti del settore accuratamente selezionati.