AxiomSL’s RiskMinds In Focus Panel discussion: Capital management, risk volatility and horizon changes: What effect will this have on the regulatory landscape?

Capital management, risk volatility and horizon changes: What effect will this have on the regulatory landscape?

RiskMinds In Focus Managing Regulation day, which addressed implementing current and future global regulatory initiatives. This one day event focused on understanding and navigating the implementation of the most pressing supervisory developments.

Richard Moss, Global Head of Risk Solutions, engaged in RiskMinds panel discussion on Capital management, risk volatility and horizon changes: What effect will this have on the regulatory landscape? with a diverse group of industry experts from AFME, Bank of America, MayBank Group and Metro Bank (UK) to discuss key questions including:

  • What, if any, additional capital requirements are necessary from the regulatory authorities?
  • As increased provisions have been released for credit risk, to what extent should spare capital be invested or utilised for buffers?

Moderator:

  • Richard Moss, Global Head of Risk, AxiomSL

Speakers:

  • Jouni Aaltonen, Managing Director, Prudential Regulation Division, AFME
  • Suresh Sankaran, Head of Model Risk Governance, Metro Bank
  • Gilbert Kohnke, Group Chief Risk Officer, Maybank Group
  • Wen Si, Managing Director, Global Regulatory Relation, Bank of America

Watch our webinar replay to catch the insightful discussion by industry experts on capital management, risk volatility and horizon changes:

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