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Risk Minds International
December 3, 2018 - December 7, 2018
THE GLOBAL MEETING PLACE FOR RISK MANAGERS
Navigate regulation. Embrace change. Challenge culture.
The world’s largest risk management event celebrates 25 years. 650+ decision makers from banks, buy-side, regulators, academics and beyond cover every hot topic in risk over five days.
Hear the CRO’s strategy
Meet 80+ global CROs. Understand what is driving their agendas and hear their strategies for the future.
Group and regional CROs will share their insight on geopolitics, economics, regulation, culture, conduct, reputational risk, governance, cyber security, emerging risks, fintech and disruption.
Hear from global regulators
Hear directly from key decision makers from each major international regulatory body.
Supervisors impart their latest thinking and meet face-to-face with banks implementing their frameworks.
Get the technical expertise
Learn from heads of risk in every core area of the bank.
Stay on top of the latest developments in credit risk, market risk, operational risk, model risk, stress testing, capital management, recovery and resolution, IFRS 9, FRTB and much more.
Network with your peers
You won’t get a better chance to meet and learn from so many influencers, such a range of decision makers and such a volume of expertise.
Use the RiskMinds App to connect with speakers and attendees ahead of the conference and on-site to arrange meetings and compare notes.
Explore regulatory change
International supervisors join together with heads of regulation from global banks.
This is your chance to review the full regulatory horizon and implementation of best practice at the Global Risk Regulation Summit.
Buy-side risk expertise
Interested in learning from, and networking with, risk managers on the buy-side?
Network with senior buy-side risk professionals, including CROs, CIOs and heads of risk from asset management, insurance, private equity, institutional investors and pension funds at the RiskMinds Invest Summit.
Machine Learning in Finance Workshop
Led by John Hull, Maple Financial Professor Of Derivatives & Risk Management at Joseph L. Rotman School of Management, University of Toronto.
Designed for participants who are new to machine learning and want to acquire skills in this area.
Practical Implementation of FRTB Workshop
Led by Rita Gnutti, Head of Internal Model Market and Counterparty Risk, Intesa Sanpaolo.
An overview of the main features of the FRTB framework and the main challenges in the journey to being compliant.
Stress Testing: Theory and Practice Workshop
Led by Ken Abbott, Former US IHC Chief Risk Officer, Barclays & Professor, Baruch College, CUNY and Thomas Groen, Head of Capital Risk, Barclays.
An interactive workshop focusing on the theory and practice of enterprise wide stress testing for banks.
HEAR FROM 200+ OF THE WORLD’S LEADING RISK MINDS