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08May 2017
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12May 2017
The beautiful city of Barcelona plays host to the Global Derivatives Trading and Risk Management Conference. Join over 500 quant traders in discussing pricing, modelling innovations, and regulatory implementation under the theme of how to thrive and survive in the new era of quant finance. Key topics to be addressed on the agenda include political surprises and the economy, the model challenges posed by a low interest rate environment, communication techniques, vectorization, margin flow and cash flow offsetting risks, big data, handling negative interest rates, machine learning, and e-trading management.
Conference website
Global Derivatives Trading & Risk Management (Budapest) 8-12 May 2017Category
Listed in: Investment Process Conferences, Back Office and Custody Conferences, Asset Allocation and TAA Conferences, Quant and Tools Conferences, Derivative Instruments Conferences, Alpha Trading Strategies Conferences, Quantitative Methods Conferences, Execution and Exchanges Conferences, Risk and Portfolio Construction Conferences.