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.
Energy Risk USA 2012 will take place on May 14-17 this year. Join us if you are seeking to enhance your risk management techniques and benchmark your methods
with peers in the energy industry.
This two-day, two-stream event will bring together the industry’s leading experts from energy companies, investment banks, regulators,
top academics, and energy traders.
Energy Risk magazine is proud to announce the new launch event, Energy Risk Canada 2012. Energy Risk Canada will be the regional networking and learning event for energy risk management and trading executives. Bringing together senior practitioners it is your opportunity to find out how to tackle risk and capitalise on new opportunities in the Canadian energy markets.
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.