Venue
On site or Online
On site or Online, Schumannstrasse 27, 60325 Frankfurt am Main, Germany

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Event Date Mon Jun 7 CDT - Wed Jun 9 CDT (over 3 years ago)
In your timezone (EST): Mon Jun 7 10:00am - Wed Jun 9 7:00am
Location On site or Online
Schumannstrasse 27, 60325 Frankfurt am Main, Germany
Region EMEA
Details

Currency and interest rate fluctuations can cause companies to experience significant earnings volatility. This has been proven to have a negative impact on the company's value - and in some cases even calls into question its continued existence.

In the course of the seminar, the process of market risk management is prepared in a structured manner. It identifies which positions are at risk and analyzes how the risks affect the company. Different quantification methods are presented and the advantages and disadvantages are discussed in detail. Based on this information, it is possible to make well-founded decisions on the risk strategy and then to implement them.

The potential impact of these risks requires a careful choice of strategy - also with a view to sustainable corporate management.

One website with multiple seminars.

Speakers

2021 Speakers

Thomas Schörner
partner at Schwabe, Ley & Greiner

Günther Bauer
partner at Schwabe, Ley & Greiner