Sovereign, Country and Political Risk Management 2016

  • 14-15 Nov 2016
  • Marriott Marble Arch, London, United Kingdom

Description

Sovereign, Country and Political Risk Management 2016 covers topics such as:

  • How other banks are using stress testing and scenario analysis to manage country risk
  • The practical risk management challenges stemming from Brexit, including contagion risk and the role of Central Banks
  • Spotlight on country, sovereign, and political risks from beyond Europe
  • Latest on the EC’s rules on sovereign exposure and what they mean in practice

Sovereign, Country and Political Risk Management 2016 brings together attendees with job titles such as:

  • Sovereign Risk
  • Country Risk
  • Rates
  • Political Risk
  • Economics

Past Events

Important

Please, check "Sovereign, Country and Political Risk Management" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance, Management, Risk Management
Government & Global Issues: Economy, Government administration, National Development
Services: Banking

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