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Venue

EY, 25 Churchill Place, Canary Wharf, London E14 5EY

Format

London

Date

Thursday, February 23, 2017

In cooperation with

This one-day conference will bring together academics, officials, and industry representatives to examine the likely effects on financial institutions of the United Kingdom”s decision to leave the European Union. Speakers and participants will share their views on – The effects of Brexit on markets, Pressures on business models, The effect of Brexit on Insurance, hedge funds and asset management.

Program

Time
Thursday, 23 February 2017
08:00
Registration and Welcome Coffee
08:30
Opening and Welcome Remarks
Omar Ali, EY
Patricia Jackson, EY
Urs W. Birchler, SUERF President
08:40
Brexit: Economic and financial backdrop for Europe

Creating stability in an uncertain world

Peter Praet, European Central Bank

Speech by Peter Praet, Member of the Executive Board of the ECB
https://www.ecb.europa.eu/press/key/date/2017/html/sp170223.en.html

Nicolas Veron, Bruegel and Peterson Institute
09:30
The Political context

The internal market versus single market

Baroness Bowles of Berkhamsted, former MEP and chairperson, ECON Committee
Charles Grant, Centre for European Reform
Charles Grant, 20 February 2017
10:10
The Regulatory environment
Piers Haben, Director of Oversight, European Banking Authority (EBA)

Brexit, financial services and equivalence

John Armour, Oxford University presentation

J. Armour Paper on Brexit and Financial Serviceshttps://papers.ssrn.com/sol3/papers2.cfm?abstract_id=2892679

10:55
Coffee Break
11:15
Systemic and market effects of Brexit

Brexit and systemic risk

Jon Danielsson, London School of Economics presentation

Effect on markets

Franklin Allen, Imperial College
12:00
Panel on Stock exchanges and Euro clearing; Derivatives; FX; Bonds
Anthony Belchambers, Member of the Financial Services Negotiating Forum
Chair and Panellist: Tim Skeet, International Capital Market Association

Brexit & market infrastructure

Kathleen Tyson, Granularity Ltd. presentation

Planning for Brexit - Operational impacts on wholesale banking and capital markets in Europe

Stephen Burton, The Association for Financial Markets in Europe (AFME)
13:10
Lunch
14:00
Opening Remarks
Tom Huertas, EY
14:05
Pressures on bank business models - Brexit a catalyst
14:05
Pressure on bank business models –UK, International, investment banking
Laurie Mayers, Moody’s
14:25
Panel on investment banks and commercial banks
Diederik Zandstra, BBA
James Chew, Shareholder Director, HSBC
Chair: John Liver, EY
Kinner Lakhani, Co-Head, Pan-European Banks Research, Deutsche Bank
15:35
Coffee Break
15:50
The effect of Brexit on Insurers and asset managers
William McDonnell, RSA Insurance Group
Menno Middeldorp, APG Asset Management
Jorge Morley-Smith, The Investment Association
Chair and Panellist: Hugh Savill, Association of British Insurers (ABI)
17:00
Closing Remarks
Ernest Gnan, SUERF Secretary General and Oesterreichische Nationalbank
17:10
End of Conference