The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use.
Our global portfolio of risk management events meet those needs, as the premier meeting place for the risk community. We pride ourselves on delivering practitioner-focused content for the rapidly evolving discipline of financial risk management. The events use a variety of formats and are widely considered to be business critical.
Collateral Management Japan
Collateral Management Japan brings together senior professionals from major regional and global financial institutions and regulators to analyse the impact of global regulatory reforms and to share best practices in managing evolving OTC derivatives regulations, practical strategies in clearing and settlement as well as innovative solutions in collateral optimisation.