|
Risk Modelling and Validation 2010 is a leading conference with a special focus on the latest strategies for developing, validating and utilizing models for maximum risk mitigation. The event will bring together risk experts from leading banks and financial institutions along with representations from regulatory bodies across Asia. They will get an opportunity to discuss the issues that managers are presently facing. This episode will provide an opportunity for the attendees to network with top risk experts across the globe and discuss the most significant issues surrounding risk models these days. This show will serve as an impressive platform to attain precious knowledge from famous experts and discover the newest developments in the region.
The conference will discuss on the key topics such as:
- Developing models to accurately measure your organization’s risk capital
- Best practice model development and validation to successfully mitigate and manage liquidity
- Watertight validation strategies to mitigate model risk
- The convergence of counterparty and market risk models in a rapidly changing market
- Developing robust risk models to ensure basel II compliance
Visitor Profile
The targeted visitors at Risk Modelling and Validation 2010 would include:
- Presidents
- Chief Executive Officer
- Chief Investment Officer
- Chief Private Banker
- Senior Vice Presidents
- Directors
- Division Heads
- Senior Managers
- General Managers
- Managers
- Advisors and Specialist
Organizer
Marcus Evans