Description
Debt Capital Markets in Canada and internationally continue to evolve and change. Canadian investors currently face a variety of challenging issues, including dealing with inflation risk, bond covenant design, managing fixed income returns, the evolving role of derivatives and issues in risk management. More fundamentally, investors and risk managers are grappling with additional complexity in evaluating market conditions, credit risk factors, how the interest of investors and financial institutions are being protected and what is being done to encourage stability within the financial system in Canada and abroad. With these challenges in mind, the agenda of this conference is designed to highlight and provide a much needed discussion for and by Canadian market participants.
We hope that you will be able to join us in April to examine the possibilities for future developments in the debt capital markets!