Risk Management
890 white papers and resources
Risk Library provides a selection of risk management white papers which address key questions which can be used in reducing the dangers for your organisation faces and how to utilise any opportunities which may ensue to their maximum capability. Risk management is the assessment and mitigation of risks which have arisen by changes on a local or global scale. Risk management may involve realising opportunities that have resulted from these changes. Within the context of the Risk Library, risk management has been defined under asset liability management, credit risk, enterprise risk management, liquidity risk, market risk, operational risk and settlement risk.
Improve time to value. It's high time.
This eBook is based on the 2021 industry research by Acuiti, as well as the FIS Readiness Report. You’ll find plenty of support for a move to AI-powered cloud computing, a modular approach that ensures budgetary control, and the Business Process as a Service (BPaaS) outsourcing of routine, non…
Measuring climate risk: what’s possible now
Panelists discussed how firms deal with the immense pressure with regards to modelling their exposure to climate risk and how organisations are viewing climate risk going forward.
Leveraging technology for faster, better investment decisions
Panellists discussed the current challenges facing buy-side firms when it comes to optimizing their investment decision-making through advanced data analytics tools and leveraging their research resources.
Resilience Playbook – OpRisk Global 2021
Without a doubt, 2020/2021 has been the most volatile and precarious year in recent history. For the first time, all organisations faced significant challenges to business continuity and felt the immediate impact of decentralisation. Gain insights from Risk.net’s 2021 OpRisk Global event formulated…
Risk Strategies for a World Gone Green
Today’s expanding green movement is causing global investment firms to rethink their approach to growth. But how do you strike the right balance between risk and return? Download the paper and find out more information about the key regulations and considerations for integrating climate and…
The last days of Libor - Are you ready for transition?
Financial and non-financial institutions must consider possible doomsday scenarios by year-end, when Libor ceases. Almost all new benchmark rates and tools are available to prepare for this landmark transition. This report explores the nuances of new conventions and the outstanding tasks for market…
RiskTech 100 2021 - Winners' Review - FIS
Technology giant FIS offers an extensive collection of market-leading risk management and compliance assets. Continued investment in advancing its solutions, services and technical infrastructure has resulted in strong and adaptable platforms across the financial services value chain. Read the…
Balance Sheet Management On Fast Forward
Fast-changing times need strategic forward-looking measures. In today’s uncertain economic environment, more variables than ever could influence the evolution of the balance sheet, so how should you steer your exposures from here? Download the white paper and start improving your insight today.
The Buy Side and System Consolidation— Grasping the Nettle
What is preventing your firm from enhancing its investment management technology? Learn from other firms in this whitepaper:
Real-Time Risk Management in Practice
The word “real time” is used frequently in discussions related to risk management, especially as it pertains to technology innovation. It is one thing to talk about real-time risk management in a theoretical sense, it is quite another to talk about it in practice. In this whitepaper a group of…