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International Conference on Compliance Auditing and Legal Risk Management in Securities Markets

๐Ÿ“… 30โ€“1 Jul 2027 ๐Ÿ“ Sydney, Australia ๐Ÿ‘ค Standard / Listener

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$185

virtual ยท $185 in person

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Official invitation letterIssued automatically after registration
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Certificate & digital materialsCertificate, slides and resource materials
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Conference session tracks

Key research areas covered across the sessions โ€” tap a track to read more.

This track will explore the latest methodologies and technologies in compliance auditing within securities markets. Emphasis will be placed on innovative practices that enhance regulatory adherence and risk mitigation.

This session will focus on the development and implementation of legal risk management frameworks tailored for securities markets. Participants will discuss strategies to identify, assess, and mitigate legal risks effectively.

This track will examine the complexities of regulatory compliance in the context of securities law. Papers will address the challenges faced by organizations in meeting regulatory standards and the implications for corporate governance.

This session will delve into the legal frameworks designed to protect investors in securities markets. Discussions will include the effectiveness of current mechanisms and potential reforms to enhance investor confidence.

This track will analyze the intersection of corporate governance and legal oversight in securities markets. Presentations will highlight best practices and the role of legal frameworks in promoting accountability.

This session will focus on the relationship between audit practices and compliance standards in the securities sector. Participants will explore how robust auditing can support regulatory compliance and risk management.

This track will investigate the formulation of corporate policies that align with legal strategies in securities markets. Emphasis will be placed on the role of legal counsel in shaping corporate governance.

This session will address the mechanisms of legal enforcement in the context of market regulations. Discussions will focus on the effectiveness of enforcement actions and their impact on market integrity.

This track will explore methodologies for conducting risk assessments specific to securities law. Participants will discuss the implications of risk assessment findings for compliance and regulatory strategies.

This session will examine the relationship between legal risk and corporate accountability in the securities sector. Papers will analyze case studies that highlight the consequences of legal non-compliance.

This track will focus on the development of governance policies that ensure legal compliance in securities markets. Discussions will include the role of governance frameworks in fostering ethical business practices.