Attendees will gain insights into:

  • Regulation: Are markets safer, more transparent and more stable?
  • Climate risk: Aligning risk appetite with climate risk ​​and improving data strategies to inform impact investing decisions

  • Technology change: Digitalization for risk management, derivatives pricing, cyber resiliency and digital currencies

  • Stress testing: Customisation and how to integrate in-house models

Where leaders of buy-side risk management and investment strategy meet, learn & get ahead

Join us in person on June 28 and online on May 24-25 to get inspired, improve investment decisions, demystify the complexities of market risk, connect with your peers and play a part in shaping the future of your industry.​