Risk management strategies, regulatory updates and investment market development in Russia
Risk & Return Russia 2012, endorsed by Risk and Structured Products magazines, will take place in Moscow, 25 April 2012!
The annual Risk & Return Russia conference, now in its 5th year, will again gather together Russia's most prominent risk managers and investment gurus to discuss the new regulatory measures affecting the financial market, risk management solutions for investment, banking and pension sectors, and asset management trends brought about by the current investment climate.
The conference is researched and produced with the assistance of the most respected financial market practitioners, to ensure that all information delivered is of the highest quality and topicality. We will discuss a range of crucial issues including:
- Prospects of implementing the new standards Basel III
- Tail risk management framework
- Changing attitude towards risk management culture in Russia
- Risk management role in an investment process
- Market risks and counterparty risks
- Investment risks of pension funds
- Building internal rating system
Over 150 senior level risk and investment professionals joined us at our fourth sell-out event in April 2011 to discuss the most recent issues raised but the financial crisis that had affected the development of risk management systems and investment behaviour.
Join us in Moscow in April 2012 and analyse the latest achievements and best practices of the leading specialists in the region.
"Traditionally a great event. Gives clear directions towards advanced and innovative investment management"
Dmitry Michailov, Head of Risk Management, ALFA CAPITAL
"An excellent extensive choice of topics covering all areas of risk management -from global financial institutions to risk management departments in smaller companies"
Oksana Krutikova, Risk Manager, INTERFIN KAPITAL
Book Now






