In an increasingly complex and scrutinised financial landscape, management companies must continuously adapt to evolving valuation standards and tightening regulatory frameworks. This panel brings together industry leaders, regulatory experts, and valuation specialists to explore how these dynamics are reshaping operational practices, risk management, and investor expectations. Panellists will discuss how regulatory shifts—such as ESG disclosure requirements, and cross-border compliance challenges—are impacting fund structures and governance models. The session will also examine best practices for maintaining transparency, consistency, and audit readiness in valuation processes, while managing potential conflicts of interest and operational burdens.
Head Risk and Compliance, Management Board
Vorstand, Member of the Management Board
Conducting Officer & Senior Business Manager
Board Director and Conducting Officer