Capital Management & Risk 2015

  • 09-10 Jun 2015
  • London, United Kingdom

Description

Capital Management & Risk 2015 is conference dedicated to the regulatory landscape and business objectives of capital management, including Stress testing, AQR, CRD IV, CRR, and more.

Capital Management & Risk 2015 covers topics such as:

  • Calculating Capital Requirements
  • Volume & Speed of Regulatory Change
  • Standardised Approach
  • CRD IV & CRR Implementation
  • IFRS 9
  • Stress Testing on capital positions
  • Cost of Derivatives
  • Leverage Ratio
  • Fundamental Review Of The Trading Book
  • Operational Risk Capital

Past Events

Important

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

Event Categories

Business: Finance, Risk Management
Government & Global Issues: Law & Regulations

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