The objective of the workshop is to study financial markets from a risk management perspective and consider the nature of major risks, the context within which they appear, and the capacity of market participants and decision makers to manage them.
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Financial markets in the context of the global financial system
Plumbing of the financial markets: market infrastructures and payment systems
Financial markets risk spectrum
Good practice systemic and institutional risk management frameworks
Nature, implications, and methods of controlling macro risks including
Systemic risk
Too big to fail
Interconnectedness
Procyclicality
Nature, implications, and methods of controlling meso and micro risks including
Credit and counterparty credit risk
Market risk
Liquidity risk
Operational risk
Business / strategic risk
Reputation risks
The global and national regulatory framework governing the risk management of financial markets
Independent Consultant
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Member Price
SAIFM Full Members will receive a discount for workshops