The Buy Side Risk Managers Forum brings together chief risk officers from the largest global asset management firms for learning, sharing best practices, and actionable discussions of current and emerging risk issues. With active Forums in North America, Europe, and Asia-Pacific, regional members convene two to three times a year to address issues driving risk management strategy and operations, including lessons learned from key initiatives.
To ensure a high quality peer discussion, the program is by invitation only.
Please contact the following GARP representatives for inquiries about the forums:
Created by participants of the GARP Buy Side Risk Managers Forum, the below papers and documents provide a practitioner’s view of sound risk management principles and reflect the growing importance and understanding of risk from the buy side perspective.
Sustainable Investing and Risk Oversight – Best Practices for Asset Managers and Asset Owners
Money Market Fund Reform: Pros and Cons of Options
Liquidity Risk Principles for Asset Managers
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