Join us for THE THIRD 2023 BANKING ESSENTIALS WEBINAR Testing times: What do Europe’s bank stress tests tell us about financial stability, and how might they change in the future? Tuesday 12 September 2023 | 3:30 - 4:30 PM (CEST) |
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Join our panel of experts as we discuss the key takeaways from the first post-COVID stress test. How does the methodology stack up against that of previous tests, how might it change in the future and how useful are the results? In this webinar we'll also look at how the EU stress test compares to tests in the US and UK, and what the results mean for the stability of the EU’s banking sector at a critical time for the global economy. |
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Diego Maria Serra Senior Manager BBVA Diego Maria Serra is the Senior Manager of Solvency at BBVA. With a background in accounting and more than eleven years of experience in banking regulation, he has coordinated the EBA Stress Test for BBVA in 2018, 2020, 2021, and 2023. In his current role, he is also in charge of BBVA's capital and MREL ratios calculation alongside the bank's work on Stress Testing and Pillar 3. |
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Salman Khan Director of Product Strategy - Financial Institution Group S&P Global Market Intelligence. Salman Khan is a Director of Product Strategy within the Financial Institution Group at S&P Global Market Intelligence. Salman focuses on execution of strategic product management initiatives, with the goal of developing solutions that help financial institutions solve critical business challenges across various operating segments including commercial lending, investment banking, risk management and corporate strategy.
Previously, Salman was working as a Banks Equity Strategist at HSBC covering global investment and wholesale banks, where he analysed banking sector trends across developed and emerging markets and proposed investment strategies to fund and portfolio managers. |
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Marc Irubetagoyena Global Head of Stress Testing BNP Paribas Marc Irubétagoyena is a member of the Group RISK Executive Committee of BNP Paribas. In his current role, he is responsible for the global stress testing and performance synthesis platform of BNP Paribas, shared between RISK, Finance and ALM Treasury Group functions. After his studies of Engineering, Finance and Statistics, Marc started his career in consulting at Arthur Andersen in 1999. He joined BNP Paribas in 2002 within Group performance management. He drove the implementation of a value creation steering program and contributed to BNL Spa integration. In 2006, he moved to the Global Equity and Commodity business, launching notably a Private Equity offer. In 2009, he came back to Group Finance to coordinate the financial monitoring of the Retail Banking division, contributing to Fortis Bank integration. At the beginning of 2011, he launched a joint team between Group Finance and Group ALM Treasury to steer the liquidity of the Bank and implement a regulatory liquidity reporting framework. In 2015, he took the role of CFO of the Global Market business line. |
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Ben Meggeson News Desk Manager S&P Global Market Intelligence Ben Meggeson is head of S&P Global Market Intelligence’s EMEA financials news team. Having joined the London bureau of SNL Financial (before its acquisition by S&P Global) in 2008, Ben has been reporting and editing award-winning financial sector-focused news for audiences on both sides of the Atlantic. A British citizen, with an MA in English Literature from Edinburgh University, Ben is currently based in The Hague. |
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ABOUT THE EUROPEAN BANKING FEDERATION The European Banking Federation is the voice of the European banking sector, bringing together national banking associations from across Europe. The federation is committed to a thriving European economy that is underpinned by a stable, secure and inclusive financial ecosystem, and to a flourishing society where financing is available to fund the dreams of citizens, businesses and innovators everywhere. Website: www.ebf.eu |
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ABOUT S&P GLOBAL MARKET INTELLIGENCE S&P Global Market Intelligence integrates financial and industry data, research and news into tools that help track performance, assess credit risk, understand competitive and industry dynamics, generate alpha, identify investment ideas, and perform valuation. S&P Global Market Intelligence is a division of S&P Global (NYSE: SPGI). For more information, visit www.spglobal.com/marketintelligence Twitter: @SPGMarketIntel |
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