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Key Risk Indicators

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Time: 13-15 July 2010
Venue: London, United Kingdom

Topics:

  • Extensive set of simulation modeling exercises
  • Applied risk – based identification and assessment of key risk indicators
  • Risk measurement models
  • Workflow analysis operations at financial institutions
  • Risk exposure forecasts
  • And much more…

Who should attend:

Asset/Liability Managers, Back- and Middle-Office Personnel, Central Bankers and Researchers at Central Banks, Chief Risk Officers and Enterprise Risk Managers/Analysts, Credit, Market and Operational Risk Managers/Analysts, Credit Rating Mangers/Analysts, Equity Portfolio Managers/Analysts, External and Internal Auditors, Fixed Income Managers/Analysts, Financial Officers from Nonfinancial Institutions, Hedge Fund and Pensions Fund Analysts, IT and Project Managers/Analysts, Market Regulators and Bank Supervisors, Quantitative Risk Analysts, Treasury Managers/Analysts.

For more info http://www.jacobfleming.com/...