Annual Report 2001/2002

Dialogue Sessions with Industry

MAS organised the first risk management conference from 31 January to 1 February 2002. The theme of the conference was “Towards Active Credit Portfolio Risk Management”, which focused on the challenges and practical implementation issues faced by banks during their transition from passive buy-and-hold to active management of credit portfolio risk. The conference aimed to promote sound financial risk management practices in Singapore and provide a forum for risk practitioners and academics to share their views on the latest developments in this area.

[Liberalisation] [Liberalisation of Stockbroking Industry] [Equity and Derivatives Markets] [Debt Market] [E-Financial Services and E-Commerce] [Recent Developments in Electronic Payments] [Financial Services Development Fund] [Enhancement of Exchange Infrastructure] [Dialogue Sessions with Industry] [Technology in Finance Dialogue Sessions]

[Regulatory Initiatives] [Developmental Initiatives] [Market Infrastructure]

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