KNect365 is part of the Knowledge and Networking Division of Informa PLC

This site is operated by a business or businesses owned by Informa PLC and all copyright resides with them. Informa PLC's registered office is 5 Howick Place, London SW1P 1WG. Registered in England and Wales. Number 3099067.

Informa

Webinar: Meeting the cyber risk challenge

Meeting the cyber risk challege

 What are the key concerns regarding cyber risk in 2018?

How can businesses stay prepared against cyber threats?

What must risk managers do to ensure their infrastructure is not vulnerable?

Watch this RiskMinds365 webinar to gain crucial insights into cyber risk management, and hear from experts as they discuss the key steps you can take today to be ahead of the hackers.

The panel:

Mark Camillo,  Head of Professional Liability & Cyber EMEA at AIG

Mark is Head of Professional Indemnity & Cyber, EMEA and is responsible for the PI, A&E, and CyberEdge® suite of end-to-end risk management solutions at AIG. Prior to this role, Mark led the cyber team for the Americas including oversight of the Personal Identity Coverage (PIC) and Payment Fraud Products. Mark joined AIG in 2001 and has held positions of increasing management responsibility in various parts of the organization including eBusiness Risk Solutions, Affinity Group, Accident & Health, Professional Liability, and the Fidelity team.

Antonio Giannino, Chief Risk Officer at Amagis Capital

Antonio is Amagis Capital’s Chief Risk Officer and he supervises all the risk management procedures including the development of our proprietary UCITS and AIF risk management software. Amagis Capital was founded in 2013 by a senior team of managing partners, namely Andrea Angelone (former Global Head of Equity Finance & Equity Treasury at JP Morgan), Simone Russo and Guido Miani.

Periklis Thivaios, Researcher at IE Business School

Periklis is a graduate from the London School of Economics, a Chartered Financial Analyst (CFA) and an accredited Financial Risk Manager (FRM).  Key areas of expertise include financial risk and regulation (Solvency, Basel), financial planning and risk forecasting, value based management, stress testing, capital management, counterparty credit risk, securitisation and structured products. Periklis is an active contributor to international conferences, research projects and publications.

Get articles like this by email