The future of the OTC Derivative Market - Eugene stanfield
CFO in a Start-up environment – Dealing with Creativity, Structure and Changes -Phil huber
European Trends in Wind Energy Investment 2015 – a utilities’ perspective
Raise Efficiency of Procurement to Support Substantial CAPEX Programme
Re-defINING HUMAN FACTOR IN DEBT COLLECTION - Ayşe Burcu Arslan
Impact of SSM and SREP on Bank Steering in a large European Banking Group - André Wilch
CLEAR OR NOT CLEAR? CURRENT TRENDS ON THE OTC DERIVATIVES MARKET
The ‘Marketable’ CFO: relationships and communications - Caroline Stockmann
How Regulation will shape the financial markets and collateral requirements of the future?
Preparing the Buy-Side to Optimize Collateral 4th Annual Collateral Management Forum - Erik vynckier
Steering with Expected Loss
Back to the basics: the impact of collateral requirements on the use of OTC derivatives by final clients - Giuseppe ballocchi
Collateral optimization and Risk Management: a buy side perspective - Enrico massignani
Ajay Sirohi- CFO Steiner Group
Buy Side Challenges in the Field of Collateral Management - Marc Peter Jahncke
Business Dynamics Excellence - To keep pace with changes in the marketplace - Rudolf Ch. Takáč
Repo, Security, Collateral Management –are we on the right track? - Godfried de vidts
Transition matrices and PD’s term structure - Anna Cornaglia
Rethinking Risk in Finance – Growing Role of CFO as CRO - Dirk erlenkoetter
Polish renewable energy investment landscape ´2015 - the on-going and new legal framework - Grzegorz Wiśniewski