November 8 - 9, 2010
There is an increasing need to ensure stability in volatile global markets in order to secure the returns and manage the instabilities in the market. Allied to increasing pressures on liquidity and further regulations to be imposed on Middle Eastern trading partners, the importance of a solid risk management setup in the business is more vital than ever. Indeed, with global markets in an uncertain transitionary period, there is also an increased importance on utilizing the best investment strategies for sustained growth.

To highlight how having a good risk management structure can lead to excellent returns across the Middle East, and how the overarching challenges faced in the current investment climate are being met to provide a maximum return of investment, Risk Magazine, Hedge Funds Review and Operational Risk & Regulation Magazines are proud to introduce the 6th Annual Risk and Return Middle East Conference in 2010.

For the first time, this event shall combine the investment and risk management sectors to deliver the leading event in the Middle East in 2010. This year’s highlights include:

*  Our exclusive Regulatory and Chief Investment Officer Roundtable discussions
*  Expert insight into setting up frameworks to eradicate existing and increasingly sophisticated fraudulent activity
*  Learning the intricacies of investing in a variety of different assets to diversify the portfolio and increase returns
*  Discussing future measures to ensure effective Operational Risk strategies in an ever-evolving marketplace.
*  Highlighting the possible implications of the proposed Basel III capital requirements
*  Emphasizing the importance of liquidity risk management, and underst

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Risk and Return Middle East November 8 - 9, 2010