Risk Annual Summit
March 20 -23rd 2012
For protection and profit - using derivatives and risk management in a changing landscape and a world of uncertainty
To mark Risk magazine's 25th anniversary in 2012, Risk is launching the Risk Annual Summit, tailored to address the key challenges impacting the European risk management market in 2012.
The event will bring together more than 250 leading financial and economic luminaries, C-level bankers, regulators, political leaders, renowned academics and opinion leaders.
Join us in London in March to 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.
At a time when the importance of effective risk management has been sharply brought into focus and with so many important and fundamental changes taking place in the world of derivatives, it is critical that you stay ahead of the curve and learn about new market developments and regulatory changes sweeping the industry at the moment.
The Risk Annual Summit 2012 will supply incisive viewpoints in credit, market, liquidity risk management and best-practice tips for the professionals involved with the derivatives industry at leading investment and regional banks, exchanges, hedge funds and asset management firms.
Regulation Timeline
Keep up with current regulatory reform activities with this reference guide.
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