November 1-3, 2017
The Four Seasons Chicago,
Preparing derivatives for the new global landscape
Manage liquidity. Profit from innovation. Survive regulation.
Join 150+ academics, financiers, regulators, quants and technologists to discuss geopolitical issues, new trends in quant finance, liquidity risk, CCPs, regulation including: MiFID II, FRTB, Dodd Frank ,dealing with negative interest rates, volatility, machine learning, artificial intelligence, big data, option pricing, commodities and more at the US Global Derivatives, Trading and Risk Management event.
The event that provides a complete update on derivatives trading, risk management and quant finance in America
Learn from the best
40+ speakers will discuss the key challenges facing the global derivatives industry, volatility and the threat of stagnation
Learn about new trends in quant finance
How have recent developments in capital markets affected the role of quants?
Meet the derivatives community
Debate the latest issues with 150+ of your industry colleagues
The numbers that matter
Stand Out From The Crowd
Connect with an audience 150+ of world's leading Quants from America and beyond.
We'll help you forge new business relationships, share your expertise and position yourself as a go-to firm in your sector. Don't miss your chance to get involved!
For a bespoke package, contact Georgia Hood on email@example.com or call: +44 (0) 20 7551 9084