The Risk & Regulation Conference: Asia’s most important gathering of best practice leaders
Asia’s premier conference, designed to give regulators and practitioners a broader understanding of the different responses to regulatory and market risk challenges. March 19, 2012 | Tiah Wen LiThe field of risk management is an area that has been evolving quickly, particularly during a time when the financial industry is becoming increasingly complex and experiencing rapid change. Factors that act as catalysts for the development of the risk management discipline include market forces on one hand and regulatory developments on the other. The year 2011 saw the U.S. struggling to make a slow recovery from the global financial crisis, with the Eurozone crisis yet to see the worst, and the Basel Committee of Banking Supervision (BCBS) releasing the final documentation for financial institutions (FIs) to comply with Basel III. Please login to read the complete article. If you already have an account, you can login now or subscribe/register.
Categories: Asian Banker Summit 2012, Capital & Strategic Issues, Regulation, Risk and RegulationAsian Banker Summit 2012,Capital & Strategic Issues,riskregulation,Risk and Regulation, Asian Banker Summit 2012,Capital & Strategic Issues,Regulation,Risk and Regulation, Keywords:FATCA, G-SIFI, CRO, Liquidity Risk, Stress Testing, Corporate Governance FATCA, G-SIFI, CRO, Liquidity Risk, Stress Testing, Corporate Governance
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