Risk management: myth or reality?
Friday, February 3rd, 10:00-11:30
Over the past few years the financial markets have been a point of interest for virtually every single individual on the planet (an effect of so-called “globalization”) but especially for corporations and institutional investors.
High volatility of all indexes, sharp and often unpredictable movements of interest and foreign exchange rates as well as commodity prices, gyrating share prices, combined with the increased influence of fairly new instruments such as credit default swaps have created a much more complex market landscape.
In that context we thought it was timely to ask our corporate and institutional clients the question whether they are able to find appropriate solutions from their financial institutions partners.
Are the products currently offered suitable to their new needs? Which needs are not properly addressed today? In which areas should financial institution further develop their offering in order to meet the new requirements of their clients?