August 31, 2015
Derivatives World Congress
Regulatory Updates, Operational Strategies, and Technology Developments for 2015 and Beyond
Derivatives World Congress
Wednesday 7th – Thursday 8th October 2015: Chicago, Illinois
- Stay abreast of global regulatory updates: Dodd-Frank & Volcker, EMIR, MiFID, Basel III and others
- Discover the benefits of a refined regulatory structure in order to achieve higher financial stability and economic growth
- Grasp the role of CCPs in the market and incorporate CCPs into your strategy
- Familiarize yourself with operational challenges of derivatives and strategies to overcome them
- Hear about collateral optimization and transformation
- Gain in-depth insight into the technological requirements of central clearing, e-Trading developments and Big data management
Speakers will include:
- Aamer Quadri: Global Head of Collateral Management, Northern Trust Corporation
- Aaron Unterman: Senior Legal Counsel, Derivatives, Ontario Securities Commision
- Adam Yonce: Assistant Director, Securities Exchange Commision
- Craig Koszewski: VP, Derivatives Product Manager, Northern Trust
- David Lucking: Partner, Allen & Overy
- David Mengle: Senior Risk Advisor, OTC Derivatives, National Futures Association
- Dennis Woods: First Vice President Financial Risk Management, The OCC
- Edina Cavalli, AVP Enterprise Dodd-Frank & Regulatory Reform Liaison, TD Bank Group
- Ian Russell: President and CEO, Investment Industry Association of Canada
- Jeffrey Ollada: Managing Director, Mizuho Securities USA Inc
- John McPartland: Senior Policy Advisor, Federal Reserve, Bank of Chicago
- Jorge Cruz Lopez: Principal Researcher, Associate Editor Financial System Review, Bank of Canada
- Joseph Jorgensen: CFA, FRM, Assocciate Director Risk Management, National Futures Association
- Khader Shaik: Senior Technology Consultant and Author of Managing Derivatives Contracts
- Ky Dong: Senior Complex Securities Specialist, Franklin Templeton Investments
- Ludovic Dubrana: Lead Manager, Financial Risk Management, AXA USA
- Manan Rawal: SVP-CCAR & Stress Testing-Head of Scenarios & Modeling, HSBC
- Mary Harris: Business Manager, TriOptima
- Maryse Gordon: Pre-Sales UnaVista, London Stock Exchange
- Michael Brady: Senior Legal Counsel, State Street Corporation
- Michael Burg: Vice President, Derivatives Product Manager, State Street Corporation
- Paul Hamill: Managing Director, Citadel LLC
- Petar Kostur: Vice President, Chief Compliance Officer- Swap Dealer, Capital Markets and Volcker, Fifth Third Bank
- Samim Ghamami: Economist, Federal Reserve Board
- Scott Alpaugh: Executive Director, Clearing and Agency Execution, UBS Investment Bank
- Sol Steinberg: Founding Principal, OTC-Partners
- Stephan Meili: Managing Director, Citi (TBC)
- Suzanne Sprague: Managing Director, Credit Risk, Risk Policy, Banking & Solutions, CME Group
- Tim Gits: Senior Vice President, Eurex Exchange
- Ursula Pfeil: Senior Counsel, Regulatory Affairs, The PNC Financial Services Group
- Wayne Forsythe: Vice President, State Street Bank
The summarised agenda is as follows: