For more information on Buy Side Risk Europe 2017 please contact [email protected]

Asset management and investment risk conference for risk and portfolio managers

23rd March 2017 The Montcalm Marble Arch London

Asset managers are emerging as effective liquidity providers in credit markets, and where dealers have seen their price discovery mechanisms eroded by regulations and changes in market structure, the most competitive pricing is now coming from the buy-side.
Buy-side Risk Europe is a leading asset management conference in EMEA and will return to London this March. Providing vital regulatory updates in this new trading environment the conference agenda will demonstrate how the buy-side are moving away from outdated methods to overhaul their risk frameworks and approach risk management proactively.

2017 Speakers include:

 

20+ reasons to attend the 3rd annual Buy-Side Risk Europe in 2017

  1. More content with added extra presentations and panels
  2. Volume of top level speakers with 40% increase in speakers numbers
  3. New names with 90% of new speakers in the programme
  4. Biggest firms in the markets with highest levels of capital under management including USS Investments, Aviva, Blackrock and Vanguard amongst many other
  5. Education with C-level speakers sharing their expertise
  6. Interact through sli.do q/a and poll questions
  7. Challenged opinions with Oxford style debates where opposing views will be presented for you to vote on
  8. Cutting edge content covering Brexit, Robo investing, Mifid II practicalities or smart beta investing and much more
  9. Not scripted panel format mostly and thought through presentations with highlighted take always
  10. Investors speaking and attending for improved networking
  11. CPD points to expand your professional education
  12. Risk.net coverage and Buy-Side Risk Awards winners participation
  13. Chartis RiskTech 100 winners attendance
  14. Thoroughly researched agenda featuring seasoned speakers
  15. Editorially produced, moderated and hosted by Risk.net
  16. Benchmarking and best practice expertise shared by experienced professionals
  17. Better coverage of stress testing and regulatory issues
  18. More focus on investment management and portfolio building
  19. New themes on smart beta, risk premia or private debt investing
  20. Wide spectrum of coverage for the buy side including themes for asset managers, hedge funds, pension funds, insurance
  21. Macro themes and update on the political scene and its impact on the investment world
  22. Raising important questions for everyone to ask themselves
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