APAC Regulatory Week - The year of Credit Risk: Crisis Response and Recovery (with Regulation Asia) | Bloomberg Professional Services
Webinar
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APAC Regulatory Week – the Year of Credit Risk: Crisis Response and Recovery (with Regulation Asia)

In collaboration with Bloomberg, Regulation Asia surveyed 113 senior banking executives with direct responsibility for credit risk and related functions across 90 institutions in 16 countries between November 2020 and August 2021. Global, regional and domestic banking institutions were represented in the sample.

In this session, Bloomberg and Regulation Asia will discuss the insights the survey has provided into the credit, liquidity, MIPD, and accounting impacts for banks arising from COVID-19.

For more sessions, please visit www.bloomberglp.com/2021APACRegWeek

Speakers

Bradley Maclean

Co-founder

Regulation Asia

Bradley co-founded Regulation Asia and currently serves as Head of Research. He was previously Vice President of Business Development at SunGard Financial Systems (now FIS) heading up strategic, business planning and product development across Asia, Africa, Latin America and the Middle East, in total overseeing 36 countries. Prior to that Brad was a management consultant focused on alternative assets. He was involved in several significant research programmes, including one assisting on TARP in 2008 for the US Treasury Department and the World Bank.

David Croen

Global Credit Risk Product Manager

Bloomberg LP

David Croen is head of credit risk products for Bloomberg, L.P., working in the firm’s enterprise product business. Prior to joining Bloomberg, David led risk management and valuation for global banks and asset managers, with specialization in credit and securitization. He contributed to the President’s Working Group on Financial Markets Best Practices for Risk Management (2008), and has advised U.S. regulators and accounting firms on complex structured finance transactions. David earned a B.A. in Applied Mathematics and an MBA in Finance, both from the University of Rochester.

Hugo Rodriguez Bautista

Global Product Manager, Risk and Investment Analytics

Bloomberg L.P.

Hugo Rodriguez Bautista is a Global Product Risk Manager for the Risk and Investments analytics group. In his role he’s responsible for creating solutions to help financial institutions take more educated decisions when investing and to better manage the risks associated with it. Hugo assists in ensuring proper capture of daily market movements and converting into data driven solutions. Prior joining Bloomberg, Hugo directed large scale engagements by implementing quantitative risk management frameworks, providing risk strategy in capital markets, and implementing trading systems, securities and derivatives in US, Europe and Latam.

Dennis To

Regulatory Specialist, Asia-Pacific, Enterprise Solutions

Bloomberg L.P.

Dennis To leads Bloomberg's regulatory data business for the Asia Pacific region. Dennis oversees the development of new data sets in response to changes in regulatory and accounting landscape, including FRTB, Libor Transition, new IFRS standards, Uncleared Margin Rules and Liquidity Risk Management frameworks. Before joining the Enterprise Solutions business, Dennis worked as the Market Specialist at Bloomberg, covering fixed income and derivatives products for the Greater China region. He has helped to promote and develop Bloomberg's fixed income offerings, such as the emergence of Kungfu Bonds (Chinese USD Credits) in recent years.

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