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With over 120 speakers the event covers everything, from basic explanations of risk management and derivatives concepts for beginners to cutting edge presentations on pricing models for seasoned quants.
Plan your event to meet your requirements.
- Are you up to date with the current derivatives trading and products? Come and hear leading practitioners from the top 10 banks in the world talking about FX strategies; inflation-linked derivatives; exotic derivatives and structured products. Learn about the challenges banks face with M&A derivatives and how they deal with insider trading in the CDS market!
- Are you interested in credit? Join stream three on day one and hear about the latest developments in the CDO market and hear about practitioners’ recent credit risk techniques. Make sure you don’t miss stream three on day two and get the most up-to-date information on correlation and stress testing.
- Get the latest information on Europe’s pension funds’ investment risk management and asset allocation plans for the near future and learn how VaR is being raised for pension funds.
- Do you know how to deal with volatility? Join the sessions on day two, stream two where you can hear leading practitioners telling you about the latest volatility trading strategies and investments and teach you how you can create a successful portfolio.
- Join our masterclasses in quantitative finance and derivatives modelling, hearing from leading academics such John Hull from the University of Toronto in Canada and other leading European
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