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The leading EMEA asset management conference, Buy-Side Risk Europe, returns in 2017 to discuss recent developments in the field. As MiFID II, IFRS9 and other regulatory changes bring the asset management industry to a point of wide-ranging transformation, businesses and investor portfolios alike are impacted. These regulatory updates will be discussed, as well as new opportunities in portfolio diversification and dynamic asset allocation. Themes at this year's conference will include how stress will impress regulators and investors after Brexit, avoiding crowds, big brother trading under Mifid II, modeling endogenous risk, and risk makeovers for portfolios containing multiple asset classes.