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Second Annual Risk Management Conference

The Challenges of Risk Management in Volatile Financial Markets

 

Photo Gallery


Welcome and Introductory Remarks


Risk Management in Banking - Lessons From Sub-Prime Crisis


Risk Management in Sovereign Wealth Funds


Luncheon Talk - Why is Volatility So High


Volatility Liquidity and Correlational Risks


Panel Discussion:
Issues in Credit and Liquidity Risks in Volatile Markets in Asia


Cocktail reception


Scientific Programme: Day 1

 

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Last modified on 27 October, 2007 by NUS Risk Management Institute (RMI)