(Specific) Risk Management & Control Strategy

[Webinar] Latest Development and Risk Management of Financial Markets in Hong Kong

概要

This course provides an overview of the latest developments and risk management strategies in the financial markets in Hong Kong. We will examine the key players in the market and the products and services they offer, as well as the regulations and focus points that govern the industry. Industry development and outlook will also be discussed, along with the current and emerging risk points that must be addressed. Risk treatment strategies will be explored in depth, with a focus on mitigating potential risks and ensuring the stability and sustainability of the financial market in Hong Kong.

By the end of the course, participants will have a thorough understanding of the financial market in Hong Kong and the strategies necessary for effective risk management.

內容

The webinar will cover the following areas:

1. Overview of Financial Market
2. Service Providers and Products
3. Regulations and Focus Point
4. Industry Development and Outlook
5. Current and Emerging Risk Points
6. Risk Treatment

對象

Financial services industry practitioners including directors of Financial Institutions, manage-in-charge of risk management.

導師/講者

鄔思彥
鄔先生在金融界擁有20多年工作經驗,從事銀行業務、證券、資產管理及諮詢等工作。鄔先生是英國赫爾大學工商管理碩士,並為註冊會計師、註冊舞弊檢查師及專業風險管理經理。

鄔先生現為亞州金融風險智庫創會委員會主席及國際操作風險管理學會亞州分會主席與反國際風險學會香港區主席。他在香港、中國及新加坡為不同的金融機構、協會及大學提供投資及相關風險諮詢意見。他也為中外公共及政府媒體撰寫財務及風險管理文章及白皮書。鄔先生多年在國際頂級託管銀行從事風險及產品開發的工作,負責範圍包括整個亞太區市場,參與多個項目研究及在不同國家業界峰會主講時下關心的題目。

詳情

活動編號
TPPRM23000601
日期及時間
2023年9月15日, 星期五 (6:30下午 - 9:00下午)
地點
虛擬平台
相關主題
第1類 - 證券交易
第2類 - 期貨合約交易
第3類 - 槓桿式外匯交易
第4類 - 就證券提供意見
第5類 - 就期貨合約提供意見
更多
語言
Trad. Chi / 廣東話
課程時數
SFC:2.50, PWMA:2.50