Fifth Annual Risk Management Conference "Global Imbalances and their Risk Management Implications"
Topics: - Understanding and modeling systemic risk - Currency instability and its implications - Liquidity risks and their implications - Derivative pricing models and empirical studies - Structured products design and analysis - Operational, market and credit risks modeling - Corporate risk management theory and practice - Optimization and computational tools for risk management - Statistical and econometric techniques for financial problems
|Event dates:||2011-07-07 – 2011-07-08|
|Deadline Call for Papers:||2011-03-15|
|Organizers:||Risk Management Institute RMI, National University of Singapore NUS|
Ms Teresa Tang at firstname.lastname@example.org or +65 6516 1011
|Classification:||E4 - Money and Interest Rates ; G1 - General Financial Markets ; G2 - Financial Institutions and Services ; G3 - Corporate Finance and Governance|
|Event type:||Konferenzen, Tagungen; Conferences|