The following content contains information on the recent 2014 Trading and Investment Risk Conference. 2015 updates coming soon.
Risk is proud to introduce the inaugural Trading and Investment Risk conference
This two-day, multi-stream event offers you the unrivalled opportunity to gain a firm grasp of the current issues and latest trends in portfolio management, advanced risk, investment strategies and regulatory changes which are sweeping the industry at the moment.
** 2 FANTASTIC EVENTS FOR THE PRICE OF 1! **
Register for your place at this event and attend the renowned Quant Europe conference for absolutely FREE!
For more information email: firstname.lastname@example.org or call Ben on +44 (0)207 968 4505
2014 speakers include:
Senior Portfolio Manager, Moore Capital Management
Greg B Davies
Head of Behavioural and Quantitative Investment Philosophy, Barclays
Marcos López de Prado
Senior Managing Director, GUGGENHEIM PARTNERS
"A premier risk management event for banks and buy-side firms"
With so many important and fundamental changes taking place, now more than ever, it is critical that you stay ahead of the curve. By joining us at the Trading and Investment Risk conference, you will learn from the best in the business as to how they are tackling some of the most difficult challenges within the following dedicated topic areas:
- Risk management in trading books
- Efficient portfolio management and asset allocation techniques
- Credit and market risk
- Latest investment strategies
- Derivatives trading
- Regulatory insights
- Future of the banking industry in the current regulatory regime