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Seminar on Managing Financial Risks in a Complex Geopolitical Context and Changing Regulatory Environment
  • DATE:
    May 19-20, 2016, Bogota, Colombia.
  • Deadline registration date:
    March 31, 2016
  • CO-SPONSORS:
    CEMLA and Latin American Reserve Fund (FLAR).
  • CONTENT:
    Cost-benefit analysis of changes to banking regulations. Implications of capital requirements for the liquidity and valuation of financial instruments. Contagion network. New financial crisis resolution mechanisms: Total Loss Absorption Capacity (TLAC). Use of internal ratings for risk management of portfolios of central banks and official institutions. Viewpoint of risk rating agencies.
  • Objective:
    Analyze the challenges and implications of regulation in financial risk management.
  • AIMED AT:
    Risk managers, reserve managers and officers from risk departments of central banks, multilateral lending institutions and sovereign funds.
  • LANGUAGE:
    English and Spanish with simultaneous translation.
  • COORDINATOR:
    Fernando Sánchez Cuadros.
    Manager, Central Bank Technical Programs and Meetings
    Phone: +52 (55) 5061-6670, fax: +52 (55) 5061-6678
    Email: sanchez@cemla.org. cc campos@cemla.org

 

 

 

 

 

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