All topics

The second annual Buy-Side Risk Europe conference features an agenda designed and researched by key members of the buy-side investment and risk community. Join other fund managers and institutional investors to discuss important themes, such as regulation (Mifid 2, Solvency 2, Basel 3 + 4, AIFMD, UCITS), index strategies, market structure and volatility, multi-asset risk management, data mining for portfolio managers, and internal modelling. With nine confirmed high-level speakers and more to come, there is no better opportunity to advance your network and your knowledge of buy-side risk.