This discursive seminar delivers a concentrated look at the key issues facing those involved in the settlement of FX trades. This event offers an opportunity to openly discuss settlement risk with industry specialists and expert speakers, and consider the nature of settlement risk in the current market and recent steps taken to eliminate it. Topics will include FX trading decisions, how to effectively estimate risk in different types of settlement (intra-day, end of day) and monitoring exposure in DVP failed trades.
This Risk Seminar is a forum which welcomes many Heads of CVA desks as panellists to discuss all aspects of running a CVA function. This format will allow attendees to benefit from many individual perspectives and a wide range of experienced professionals from major CVA traders.
In this one day seminar hosted by Risk Magazine, the fundamental features of the G20 commitment will be analysed in the context of the Canadian derivatives market to provide the most up to date and current information on clearing in Canada, with a specific focus on how clearing will work in practice, rather than theory. Specific emphasis will be placed on the workings of CCP's, trade repositories and trade execution facilities.
This seminar will also address how clearing is viewed to strengthen the financial system in Canada, as well as the impact of central clearing on the buy-side and corporate end users in 2012 and beyond.
This Risk Seminar is a forum which welcomes many Heads of CVA desks as panellists to discuss all aspects of running a CVA function. This format will allow attendees to benefit from many individual perspectives and a wide range of experienced professionals from major CVA traders.