La conferencia Structured Products España 2012 es ahora un punto
de encuentro establecido para todos los profesionales que trabajan en el sector
de la inversion, diseñado para promocionar la formación y proveer oportunidades
de establecimiento de contactos y aprendizaje para los principales altos
ejecutivos de compra con facultad de toma de decisiones en España.
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.
Structured Products Americas is now in its seventh consecutive year and is the annual reunion for 150+ industry leading buy side executives. The event features speakers of the highest calibre from a cross-section of the market, including; regulators, academics and CIOs of family offices and wealth managers from companies such as FINRA, QMS Capital Management LP and Harris Private Bank. The event remains committed to providing indispensable education on emerging opportunities and how they can be accessed through structured products. This two day flagship event will offer insight into the most lucrative themes and product types and now features a half day investor summit designed specifically for the end investor.
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.
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.
The Quant Congress USA conference is the premier meeting point for leading
Quant professionals to showcase, share the latest research and bridge the gap
between theoretical perspectives and practical challenges.
Attend for invaluable insight into new models and quantitative strategies
adopted by leading financial institutions. Discover how your peers are managing
portfolio risk to meet business objectives and gain profit in this challenging
climate.
Risk magazine’s ALM Europe conference is designed to allow the cross-sector
sharing of ideas and best practice for asset and liability management in the
European banking and insurance industries.
In 2010 ALM Europe will be focussing on developing robust asset and liability
risk management strategies for today’s market conditions. Day 2 of the conference will focus on Basel III.
Don't miss out, register today!
Quant Congress Europe is the leading showcase for the latest innovations in
the derivatives world and risk management.
Risk magazine’s annual flagship quantitative finance conference,
provides an invaluable insight into quantitative strategies adopted by leading
financial institutions to mitigate risk, manage portfolio risk and increase
yield.
Risk & Return Italia 2012 offrirà un aggiornamento puntuale sulle tematiche
più recenti del settore, garantirà conoscenze e competenze indispensabili per
ottimizzare la gestione del portafoglio e diversificare gli investimenti su una
gamma di classi di attività, assicurandovi l'accesso alle nicchie di mercato più
promettenti in tempi difficili.