Fifth International Risk Management Conference IRMC 2012 "Global Standards for Risk Measurement, Management and Regulation"
Thematic Areas: The following questions will be explored by scholars and practitioners: Are today’s risk measurement and management tools adequate in the face of global instability? - What is the impact of sovereign credit risk on banks, insurance and financial system stability? Are current measures of sovereign risk adequate? - Are there new and better measures of systemic risk available? - Are conventional measures of risk derivatives still valid? - Equity risk premiums, are they converging across geographic areas due to global risk aversion? Are current financial regulations adequate to restore financial stability? - Is the new financial regulation worth its costs? - Measurement and impact of bank stress tests on capital requirements under the new Basel regime and recent European crisis conditions - What are the implications of the financial crisis on financial system regulations?
|Event dates:||2012-06-18 – 2012-06-19|
|Deadline Call for Papers:||2012-03-31|
|Organizer:||Risk, Banking and Finance Society Italian Deposit Insurance Fund, Rome|
|Conference venue:||Vatican City, Rome, Pontifical Lateran University|
Pre-event Conference Management: The Risk, Banking and Finance Society Tel: +39-05 5437 4720 Fax: +39-05 5437 4109 Email: firstname.lastname@example.org Academic Coordination Contacts: Prof. Oliviero Roggi Tel: +39 055437 4720 Fax: +39 055437 4910 Email: email@example.com - firstname.lastname@example.org
|Classification:||G2 - Financial Institutions and Services ; G3 - Corporate Finance and Governance ; M1 - Business Administration|
|Event type:||Konferenzen, Tagungen; Conferences|