May 14 - 16, 2014
A conference co-presented by the IBA Banking Law Committee and IBA Securities Law Committee, supported by the IBA European Regional Forum

Topics include:
Market abuse regulation – case studies, civil actions
The single supervisory mechanism – who leads the charge?
Sale/enforcement of cross-border distressed loan portfolios
EMIR and Dodd-Frank: convergence or dislocation
Recent case law of the European courts
Update on loan documentation

Who should attend?
All finance securities and banking lawyers, whether in private practice or working in-house, and those working generally in the banking and finance industry.

Venue

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Organizer

International Bar Association
10th Floor 1 Stephen St London W1T 1AT United Kingdom
+44 (0)20 7691 6868