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    Description
 
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GARP’s 5th Annual Asia Pacific Convention is Asia's premier risk management event - bringing together risk professionals from across the region to meet and discuss topical issues and challenges facing the industry. Last year's Convention attracted over 200 attendees!


Key highlights for the 5th Annual Asia Pacific Convention:

  • Yiu-Kwan Choi, Deputy Chief Executive Officer of the Hong Kong Monetary Authority will share his view on lessons learned from the U.S. subprime crisis and the challenges risk managers in Asia face in the aftermath.
  • Latest on the credit crunch and liquidity crisis, including insights in stress testing from Asian banking representatives of UBS, Citi and Credit Suisse.
  • Up-to-date GRC and operational risk developments from the head of departments of ING Investment Management, AIG and Deutsche Bank.
  • ERM and effective capital allocation techniques and strategies from the Bank of Japan, Fidelity, and UBS Investment Bank.
  • Japanese View: Gain firsthand knowledge from Tsuyoshi Oyama, Director from the PricewaterhouseCoopers on Enterprise-wide risk stress testing across various risk groups, and gain insight from David Nichols, Executive Director and Chief Administration Officer at Morgan Stanley Investment Management on how to keep your business focused through effective risk management.

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    Keynote Speakers
 
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Hear cutting edge, thought provoking presentations from leading experts in the field of financial risk management, including:

 Choi 

Yiu-Kwan Choi, Deputy Chief Executive Officer,
Hong Kong Monetary Authority                   

RGupta

Rahul Gupta, Senior Managing Executive Officer, Chief Financial Officer, Shinsei Bank 

Nichols

David Nichols, Executive Director, Chief
Administration Officer
, Morgan Stanley
Investment Management, Japan

RScanlon

Robert Scanlon, Group Chief Credit Officer, Standard Chartered Bank

Praveen Varma

Praveen Varma, Global Managing Director, Moody’s Analytics Consulting
Services Group  

 

 

                            

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    Convention Details  
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Date

Time

Event

November 19, 2008

9:00-17:00

Workshops A & B

November 20, 2008

8:45-12:45

Keynote Sessions

14:00-17:30

Track Sessions

November 21, 2008

9:00-17:00

Workshops C & D

View Detailed Schedule 

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      Workshops  
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Date

Workshop

November 19, 2008

A: Economic Capital for Financial Institutions 

 

B: Effective Liquidity Risk Measurement and Management 
Led by Deutsche Bank 

November 21, 2008

C: Governance, Risk and Compliance (GRC) and Successful Operational Risk Management
Led by Nomura and BPS 

 

D: Practical Aspects of Counterparty Credit Risk Measurement and Management
Led by Bank of America 


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      Track Sessions  
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This year we have 4 new tracks running simultaneously, entailing the latest risk management strategies in effect in the Asian market! All sessions in each track begin and end at the same time. Delegates can move freely between tracks.


Track 1: Latest Market Risk Measurement and Management 

Track 2: Credit Risk: Measurement, Regulation and Structured Products 

Track 3: Effective Operational Risk, Governance and Control 

Track 4: Advances in Enterprise-Wide Risk Management   


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      Sponsors  
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Lead Sponsor               Moody's 8.1.08 

Associate Sponsors       undefined        undefined          undefined 

       
Financial Risk Manager (FRM®) Energy Risk Professional(ERP) Certifications/Foundations Training Services
Community Events Career Center