Risk USA is one of the longest-running Risk Management events in the US. Risk Magazine presents its 21st Annual Risk USA conference in Oct 2015. The event will take place over two days, with pre- and post-conference workshops being held on the 20th and 23rd October. The conference promises new themes on repo market, market finance, resolutions and XVA, with increased buy-side, senior bank and regulatory speakers and new networking opportunities through ‘Meet the speaker’ meetings. Discussions will cover topics including market liquidity risk, the future of repo market, collateral risk management, reviving swap futures, the interaction between FVA and KVA, cross asset risk aggregation, liquidity in fixed income portfolios, the impact of regulation on risk management practices and risks and returns in P2P, hedge fund and customer lending.