2nd Annual Sovereign Risk Management

This marcus evans event will tackle the legal considerations and policy evaluation across the continent, exploring the role of the ECB and its medium-term strategy for growth. Addressing how to effectively stream socio-political data in order to successfully forecast future positions, this forum will assess pre-emptive tools for capturing stress, as well as managing sovereign risk exposure. This conference will evaluate the history, performance and capacity of external ratings alongside market indicators, while examining the challenges concerned with building successful internal controls. This conference will profile in-depth economic insight alongside recent developments, in order to promote a stronger fixed income investment strategy despite an increasing awareness of risk.