Risk magazine's premier derivatives and risk management conference: Derivatives & Risk Management EuropeMonte Carlo, 5-8 June 2006
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Europe's premier networking event for risk management and derivative trading professionals

Shape your learning and career development at Europe's only gathering of Risk magazine subscribers.

Success in risk management and derivatives depends on your knowledge of today's cutting-edge theory and practice. And there is no better place to achieve this than Derivatives and Risk Management Summit Europe 2006.

Because Risk magazine is dedicated to educating and moving the markets we have assembled the best risk management practitioners in the business to spend up to 4 days giving you new ideas, new insight and a fantastic one-to-one learning experience. As every risk professional's job is different, you can tailor this event to meet your development needs exactly.

Key highlights:
• Don't miss the opportunity to network with key Chief Risk Officers and identify their winning strategies in an interactive CRO panel discussion. Panellists include representatives from CITIGROUP, DEUTSCHE BANK, ING GROUP, DKR CAPITAL and MORGAN STANLEY INVESTMENT BANK.

• Come and learn more about ATP, Denmark's largest pension fund yielding a return of 20.4% last year - keynote address by Lars Rohde, Chief Executive Officer of ATP

Are you aware of all the implications and changes that MiFID demands? If not, then attend our MiFID extended session which will be looking at issues such as best execution, conduct of business charges and systematic internationalism with experts such as Lindsay Tomlinson, Vice Chairman, Europe, BARCLAYS GLOBAL INVESTORS and PJ Di Giammarino, Co-Chair, THE MIFID WORKING GROUP, amongst others

• Is correlation still a big issue after the May 05 crisis? Do not miss the opportunity to hear John Hull, one of the world's leading academics discuss his research in an extended session on matching the correlation skew for tranche pricing

• Come and find out what gives the Risk award winners the cutting edge through various presentations from institutions such as BARCLAYS CAPITAL, SOCIETE GENERALE, MORGAN STANLEY, CREDIT SUISESE, ATP, ING INSURANCE, UK DEBT MANAGEMENT OFFICE as well as Vladimir Piterbarg, Risk's Quant of the year for 2006

• Attend an in-depth one day seminar with Philipp Schonbucher, Assistant Professor, ETH ZURICH, covering the latest developments in CDO pricing and hedging

Europe's premier networking event for risk management and derivative trading professionals
Click here for a list of leading financial organisations who attended in 2005!

Exclusive keynote speakers:

John Hele
John C.R. Hele
Deputy CFO, ING GROUP and Chairman, CRO FORUM
Risk magazine Award winner
Peter Scales
Peter Scales
Chief Executive Officer, LONDON PENSION FUND AUTHORITY
Lars Rohde
Lars Rohde
Chief Executive Officer, ATP
Risk magazine Award winner
Lindsay Tomlinson
Lindsay Tomlinson
Vice Chairman, Europe, BARCLAYS GLOBAL INVESTORS

Plenary speakers:

Patricia Cook
Patricia Cook
Executive Vice President, Investments and Capital Markets, FREDDIE MAC
Colin Church
Colin Church
CIB Chief Risk Officer, EMEA, CITIGROUP

Special Guest:

Sam Dibb
Sam Dibb
Director, CERTAIN RISK MANAGEMENT
Co-Author of Betting on the future: Online gambling goes mainstream financial

Hear from the top CROs and Senior Executive speakers:
Kanwardeep Ahluwalia, Senior Managing Director, Global Risk Management, BEAR STEARNS
Richard Evans, Chief Risk Officer (Market Risk), DEUTSCHE BANK
PK Satish, Chief Risk Officer, DKR CAPITAL
Trevor Williams, Chief Economist, LLOYDS TSB FINANCIAL MARKETS
Kenneth Winston, Global Chief Risk Officer, MORGAN STANLEY INVESTMENT MANAGEMENT

Network with corporate speakers
David Adams, Group Treasurer, ARLA FOODS UK PLC
Terry Leitch, Director, BOEING CAPITAL
Geoff Taylor, Director of Risk Management, NIKE EMEA

Learn directly from the financial gurus:
John Hull, Professor of Finance, Director, Faculty of Management, UNIVERSITY OF TORONTO
Vladimir Piterbarg, Head of Fixed Income Quantitative Research, BARCLAYS CAPITAL
Philipp Schönbucher, Assistant Professor for Quantitative Methods of Risk Management, Department of Mathematics, ETH ZÜRICH

Discuss with the supervisors and government agents
Partha Dasgupta, Director of Investments and Finance, PENSION PROTECTION FUND
PJ Di Giammarino, Co-Chair, THE EUROPEAN MIFID JOINT WORKING GROUP
Rob Curtis, Prudential Standards Division, FINANCIAL SERVICES AUTHORITY

Gain investment insights from the alternative investment speakers
Maurizio Ferconi, Managing Director, Head of Financial Engineering, PUTNAM INVESTMENTS
Florian Stärk, Head of Risk Management, MEAG, MUNICH ERGO ASSET MANAGEMENT
Malcolm Kemp, Executive Director, Quantitative Research, THREADNEEDLE ASSET MANAGEMENT

Sponsoring or exhibiting at Derivatives & Risk Management Europe will enhance your organization's presence and enable you to maximize your profile with the right audience. To discuss specific packages that could suit your individual requirements, please contact Adam Jordan on +44(0)207 484 9908 or via email: sponsorship@incisivemedia.com. Additionally, if you would like to download a PDF of the sales pack please visit our Downloads area.

Principal Sponsor

Accenture

Lead Sponsors

KPMG
Société Générale

Cocktail Sponsor

Reuters

Speaker Sponsor

Credit Suisse
DST International
IXIS

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