February 09 - 10, 2021
8.50 - 2.00 ET
DAY 2 - 10th February 2021
Wednesday, February 10th, 2021
1:00 PM Panel Discussion: Navigating a global pandemic, trade wars and populism and impact on EM FX in 2021: How have global trends influenced emerging markets opportunities and how will Central Banks play a key role on EM dynamics and risk mitigation?
2:05 PM Regulations Think Tank: How can you ready your desk to ensure you are adhering to the current global code of conduct and the final phase of UMR?
*Open to a max of 15 buy side Heads of FX Trading, PMs and Currency Managers