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At the 2016 Marcus Evans Pan-Europe Sovereign, Country and Political Risk Management forum, join your fellow bankers and global financial professionals in learning how to best manage sovereign and country risk exposure in the wake of the Brexit referendum. Brexit has created shockwaves of volatility and uncertainty to global financial markets, and it is the role of banks to understand how to manage new risks through, minimise exposure, and model historically unprecedented events. Key topics will include practical risk management challenges arising from Brexit, the role of central banks, stress testing and scenario analysis, EC rules on sovereign exposure in practice, and benefiting from risks beyond Europe.