25-26 April 2012 - International Finance Corporation (IFC), Washington DC, USA
The discussions at this Thirteenth Forum will focus on “The Crisis in Europe and Spillovers Into Global Debt Markets: What Are the Lessons?”, covering points related to regulation, market issuance, and global portfolio flows. What have issuers and investors learned from the crisis? What should regulators be mindful about as they introduce new policies and regulations? What lessons can be drawn for regulators, financial institutions and investors from downgrades of sovereigns? What risks and challenges lie ahead and how do we expect them to unfold?
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