This seminar, sponsored by Central Banking Publications and Risk Magazine is designed for senior representatives from both the official and private sectors who wish to find out about the ways in which systemic risk can be identified, measured and managed with the financial system and critically assess the extent to which regulatory reform can improve the stability of the financial system. It is of particular relevance to; central and commercial banks, supervisory authorities, national treasuries, debt management offices, exchanges, asset managers, insurance companies, hedge funds, and inter-dealer brokers.
WilmerHale partner Dan Gallagher is a featured panel moderator for this event.