The following information is available for this conference.
How have capital markets adjusted to the emergence of India and China, perceptions of a global 'savings surplus', new oil price schocks, concerns about asset 'bubbles' and new international financial regulatory arrangements? Why have capital markets appeared resilient in the face of these challenges? What are the potential areas of risk? How can these risks be managed? In what framework?
Download the conference programme (PDF 80Kb approx) - published 09/11/2006
Download the report of this conference (PDF 138Kb approx) - published 09/11/2006