Regulation, risk and reaching nirvana – Harnessing your data assets in the wake of the crisis
Dark Pools of Liquidity – The Risks
Location of Market Risk Personnel
Credit Meltdown Recovery? Harnessing Stress Testing for Effective Risk Control
Determining Best Execution: What Roles Does Transaction Cost Analysis Play?
Establishing Control: Buy-side data management challenges
Navigating the Minefield: An assessment of current credit monitoring and control practices
Risk Management in 2009 – Where do we go from here?
Lepus in association with Asset Control London Seminar
25th September 2008
On
“Flexibility vs. control in Complex Derivatives – How this has changed with recent events”
This seminar was attended by over 150 people
The panel consisted of:
Various topics discussed in this seminar were:
Tagged with: 2008 Events