Risk management and the prudential regulation of banks and insurance companies - Centre for Central Banking Studies CCBS
The event will aim to discuss the management of various categories of risk faced by retail banks, investment banks and insurance companies, including those generated by macroeconomic, political and social developments. Specific topics are likely to include: - trading risks and hedging, options pricing; - assessment, management, and supervision of risk-taking in regulated firms; - insurance risks, including the problem of predicting longevity and mortality; catastrophe risks; monetising embedded value; - operational risk, cyber risk initiatives in the United Kingdom; - the use of stress testing at different levels as a tool in risk management; - credit risk; and - liquidity risk.
|Event dates:||2015-03-18 – 2015-03-20|
|Organizer:||Centre for Central Banking Studies, Bank of England|
|Classification:||G2 - Financial Institutions and Services|
|Event type:||Seminare, Summer Schools, Symposien, Workshops; Seminars, Summer Schools, Symposiums, Workshops|
Persistent link: https://www.econbiz.de/10010484658