Navigating geopolitical risk in finance
View AgendaKey reasons to attend
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Gain insight on geopolitical risk exposures in various areas of risk
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Develop geopolitical risk profiles and exposure maps
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Learn strategic techniques to prepare for future geopolitical risks
Customised Solutions
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About the course
This virtual learning experience offers participants insight into major geopolitical exposures, risks and dynamics that challenge our world.
Sessions detail pertinent geopolitical events and explore their impacts on banking and trading books. Participants will practically map the consequences of past risk exposures and model geopolitical risks using various assumptions about frequency, severity and exposure maps to learn how to effectively map for the future and build geopolitical risk management skills.
The course closes with two recent geopolitical cases studies for participants to interact with real-life situations and understand how to better prepare for future geopolitical scenarios.
Flexible pricing options:
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Early-bird rate: book in advance and save $200
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3-for-2 group rate: book three delegates for the price of two and save more than $2,000
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Season tickets: book a team of 10 or more and save up to 50%
Learning objectives
- Manage geopolitical risks on the banking and trading books
- Identify geopolitical risk exposures and their impacts
- Map the consequences of geopolitical risk exposures
- Distinguish between pessimistic and optimistic scenarios using real-world geopolitical risk narratives
- Evaluate past geopolitical scenarios and the associated risks
Who should attend
Relevant departments may include but are not limited to:
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Operational risk
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Risk appetite and culture
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Internal audit
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Compliance
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Governance
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Strategy and transactions
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Board of directors
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Business development management
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Human resources
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Market risk
Agenda
June 27–29, 2023
Time zones: Emea/Americas
Sessions:
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Introduction to geopolitics
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Geopolitical risk exposures
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Geopolitical impact on the trading book
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Geopolitical impact on the banking book and corporate governance
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Preparing for future geopolitical events in the banking and trading books
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Case study one: Ukraine
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Case study two: UK
Tutors
Lawrence Habahbeh
Risk consultant
HedgeGenomics
Pre-reading materials
The Risk.net resources below have been selected to enhance your learning experience:
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Fog of war: the struggle to manage geopolitical risk - Read article | Risk.net
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Geopolitical risk models not ‘rigorous’ enough, says quant - Read article | Risk.net
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No link between geopolitical risk signals and returns – hedge fund - Read article | Risk.net
To access some of the above articles you need to have a current subscription to Risk.net. If you don’t have one now, please subscribe to a free trial