Risk events is a global portfolio of best-in-class conferences, awards, webinars, roundtables and bespoke live content hosted by Risk.net, the world's leading source of in-depth news and analysis on risk management, derivatives and regulation.
We serve a discerning, senior audience of decision makers from investment banks, investors, regulators and the intermediaries that serve them with content that is thought-provoking and impactful, both in-person and online.
Our event attendees rely on us to gain a greater understanding of cutting-edge topics, to strengthen their network and to harness valuable, actionable insights which can enable change within their teams and businesses.
No other publication-led events portfolio offers such authoritative content nor such a senior audience of pre-qualified decision-makers and influencers, ensuring our partners receive unrivalled brand visibility, thought leadership and community engagement through credible content.
Risk Live Europe RoadshowNovember 30, 2023 | Marriot Amsterdam
Risk Live Europe Roadshow brings together risk management and risk transfer professionals from across the capital markets industry to benchmark, share insights and connect. There has never been a better time for Risk.net to bring the Risk Live Festival to the European continent, focusing on fast-paced changes impacting the risk management and asset liability management (ALM) community.More information
Tune in to the RiskMasters podcast to get under the skin of chief risk officers (CROs). These engaging discussions with renowned risk practitioners and business executives cover a wide range of topics including risk culture, risk governance, risk assessment, risk mitigation, emerging risks, cybersecurity, compliance, and more.
Hosted by Julien Haye in collaboration with Risk.net, this series of interviews offers risk managers cutting-edge insights and expert advice from CROs, dissecting the intricacies of risk management through meaningful and candid conversations.
Subscribe now to hear from senior industry leaders, including Terri Duhon, who currently serves on four boards including as non-executive chair of Morgan Stanley Investment Management and non-executive director on the board of Wise, the payment company.
Risk management is not just about avoiding potential pitfalls, but also seizing opportunities and creating value for businesses. These podcasts are essential listening for those eager to:
- drive positive change within their organisation,
- spark innovative thinking and continue to learn about their role,
- stay abreast of important emerging trends and thrive in today's dynamic landscape, and
- gain exclusive access to practical advice from long-serving CROs.
Don't miss out on future episodes. Search for RiskMasters and hit the subscribe button on your favourite podcasting platform, and stay tuned for fascinating discussions on risk management – Apple Podcasts, Spotify, Amazon, Google Podcasts or Julien’s website.More information
Energy Risk’s Software Survey and Rankings have been running since 2005. With 15 years of data, the Software Survey charts the use of software by the risk and trading functions of commodity firms, showing the spread of new technologies and the digitalisation of the sector.More information
Quant Summit Europe returns to London this December giving you the chance to connect with peers as part of an unrivalled community, hosted by the leading risk management and risk transfer publication in financial services, Risk.net.
With an agenda steered by the editorial team and our global advisory board, focus on innovation and problem solving, ensuring you leave with a better understand of cutting-edge advances in quantitative finance and ultimately improve your team's performance.More information
9AM GMT | 2:30PM IST | 5PM HKT/SGT
There was a time when the cloud and cloud-based applications and services were viewed with scepticism by swaths of the financial services industry. But firms on both sides of the industry have now come to see the significant business and operational benefits it can bring. Similarly, investors now expect their service providers to have, at the very least, a clear cloud strategy as a means of maintaining operational resilience.
This webinar will focus on the business and operational benefits to firms on the back of their cloud strategies across an industry unforgiving to those not able to guarantee 100% uptime, operational robustness and competitiveness.
This webinar will address the following:
• What operational resilience entails across the financial services industry, and how the cloud and cloud-based services can help firms realise their resiliency objectives.
• What firms can reasonably expect from cloud providers when it comes to operational resilience, and what qualities they should look for in a partner.
• How financial services firms can make the business case for establishing relationships with providers of cloud-based services, especially when it comes to optimising operational efficiency
This Risk.net webinar, in collaboration with Numerix, will explore the intricate world of structured credit markets in 2024. The webinar discussion will review key market dynamics in 2023, looking ahead to 2024 to see how practitioners are handling challenges posed by high interest rates, persistent inflation and the ongoing implications of the Libor transition.
Our panel of experts will provide insights into the structured mortgage sector and other interest rate-sensitive structured products, highlighting the key risk factors and unique market dynamics that shape them. Advanced risk management strategies will also be under discussion, as well as the role of technology in understanding, monitoring and mitigating risk in these markets.
- The latest trends in structured credit markets, and whether volumes will recover in 2024 after this year's decline.
- How firms in these markets will adapt to the challenges posed by high interest rates, and manage inflation risks that many practitioners have never dealt with before.
- Current developments and challenges within the different sectors of the structured credit markets, and how these challenges are being addressed by market participants.
- How the Libor transition is still impacting these markets.
- The role of technology in monitoring and mitigating risk for firms in structured credit markets.
Landing in Charlotte, North Carolina, Risk Live North America Spring unites senior risk management and risk transfer professionals providing a convenient platform for the exchange of ideas, access to cutting-edge insights, benchmarking, and relationship building. Helping future proof businesses.More information
Attracting 100+ senior professionals from leading asset managers, hedge funds, pension funds, insurance firms, mutual funds and equity firms the Investment Risk events are the premier regional conferences helping you better understand the complexities of market risk.More information
Asia Risk is delighted to present the annual Asia Risk Congress, Asia's leading risk management, derivatives and regulation event. Attended by 600+ delegates, the event will discuss the latest on libor transition, regulatory developments, non-financial risk, and derivatives.More information