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Credit & Market Risk

Panel discussion: Market volatility and forecasting credit risk 2021

Posted by on 21 June 2021
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IFRS 9: How did the standard work in the crisis? Is it better or worse?

What differences in accounting did we see from the 2008 crisis and how will the economy evolve post government guarentee schemes?

Moderated by Lars Popken, Global Head of Risk Methodology, Deutsche Bank.

On the panel:

  • Ebbe Negenman, Chief Risk Officer, Knab
  • Christian Bluhm, Group Chief Risk Officer and Member of the Group Executive Board, UBS
  • Jeremy Arnold, Chief Risk Officer, NatWest Markets

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