|Event Date/Time: Apr 13, 2011||End Date/Time: Apr 14, 2011|
Key topics at the Liquidity Risk Management Asia 2011 summit include:
â€¢ Panel discussions involving banks and investment management firms on the implications of new regulatory framework for their respective liquidity risk management practices
â€¢ Case studies on developments and changes implemented by banks in response to Basel III, and the results observed to date
â€¢ Discussions on strategies for fine-tuning liquidity risk management practices according to the market
â€¢ Expert-led presentations on best practices for liquidity stress testing and developing scenarios for analysis, incorporating collateral management into liquidity risk framework and measuring market liquidity risk
This timely summit is a must-attend for financial institutions to discuss the growing importance of liquidity risk management and learn new approaches to manage it in line with new regulatory framework and current market environment in Asia.