Market Risk Management 2015

  • 07-08 Dec 2015
  • Radisson Blu Edwardian Grafton Hotel, London, United Kingdom

Description

Topics
  • Current best practice in risk management
  • Risk and how it can be managed and controlled
  • Alternatives to VaR, including `Stress and Scenarios`
  • Value-At-Risk: Why do regulators like it, where does it fail and what can be done about it?
  • Risk measurement and management for hedge fund and traditional fund managers
  • Incorporating and managing non-linear risks
  • Incorporating new products and risks
  • Regulatory impact and requirements for risk management and capital

Past Events

Important

Please, check "Market Risk Management" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance

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