until super early bird rate expires on
22 March 2019
Last year’s edition looked at risk management implications in view of several factors that could change the face of the asset management industry as we know it: climate change, blockchain technology and regulation.
Three break-out sessions animated the afternoon focusing on the role of the risk manager in fund board meetings, liquidity stress testing for Private Equity and Real Estate funds and finally, global developments in Liquidity & Leverage risks and their impact on the local actors.
Over 230 risk managers from more than 150 companies registered to attend.