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.
Operational resilience: driving excellence and effective measurement in financial services – best practices
In this webinar we will discuss and share best practices from leading global financial firms on how to build resilience across the extended organization. We will look at the actions and measures companies are taking to become more agile, adaptable and able to future-proof their business growth.More information
In this webinar, you will hear from the leaders who are actively using AI in the fight against financial crime. We will discuss what FSOs need to do in order to take advantage of what AI has to offer, and share best practice on how to adapt to the ever-evolving threat of FinCrime, and where AI can best be deployed.In this webinar, you will hear from the leaders who are actively using AI in the fight against financial crime. We will discuss what FSOs need to do in order to take advantage of what AI has to offer, and share best practice on how to adapt to the ever-evolving threat of FinCrime, and where AI can best be deployed.More information
Gain insight into the evolving landscape of operational resiliency and business continuity through best practise approaches for creating robust, efficient strategies to mitigate risk and disruption.More information
Learn about: Risks and opportunities of climate change risk; Climate risk disclosure, reporting and governance frameworks; Data management for climate change riskMore information
Join leading regulators, treasury and risk practitioners and OTC derivatives experts to discuss the outlook for Japanese derivatives, repo and securities markets; strategies in complying with new regulations, effective ways in collateral optimisation and innovative ways in managing trading costs.More information
Asia Risk誌が主催する第５回Collateral Management Japan forumが開催されます。本フォーラムは、金融、リスク管理のプロフェッショナルに、刻々と変化するOTCデリバティブ市場規制への対応、清算および決済の実践的戦略、担保管理の最適化についてのベストプラクティスをお話し合いいただく絶好の機会です。 Collateral Management Japan forumは、規制当局、財務管理の専門家、リスク管理実務者やOTCデリバティブのエキスパートが一堂に会し、本邦デリバティブ、レポおよび証券市場の展望、新たな規制に対処するための戦略、担保管理最適化のための有効な方法、トレーディングコスト軽減のための新手法などについて意見を交わします。 毎年、Collateral Management Japan forumには、金融界の第一線で活躍するプロフェッショナルが集まり、金融規制改革の影響や清算集中されないデリバティブ取引のマージン管理に関するベストプラクティスについて意見を交わします。More information
Growing geopolitical uncertainty, regulatory changes in the swaps and OTC markets, the growing trend of new energies and the constant speculation on the direction of the oil price are some of the main challenges that will be discussed at the Energy Risk Asia conference.More information
Asia Risk is delighted to present the annual Asia Risk Congress, Asia's leading risk management, derivatives and regulation event. Attended by 1,000+ delegates, the event will discuss the latest on libor transition, regulatory developments, non-financial risk, and derivatives.More information
Essential of Operational Risk is designed to bring the in-depth, learning led content of Risk Training to an accessible online platform. Through videos, articles, audio content, and presentations, the training will provide you and your team with engaging content that can be accessed on-demand.More information