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.
Corporate Actions Processing—Data Quality and Automation Are Key
Which corporate actions use-cases will grow in importance in the next 1-3 years? Discover in this whitepaper:
The pitfalls of out-of-the-box surveillance
Today’s fast-changing markets and complex trading environment require capital markets firms to take a more holistic approach to trade surveillance
OUTSOURCED TRADING: Competitive Advantage for Growth
Here are the experiences of three fund managers who chose to outsource execution, how they perceive the service, and why they did it.
How the covid-19 pandemic altered the future of risk
No one could have foreseen the degree to which COVID-19 would disrupt lives, economies, and markets worldwide— or could we have? And how can risk managers hope to hedge against future black swan events—that is, those highly rare, high-impact, widespread occurrences that shake up global markets and…
Chartis RiskTech Quadrant Outsourced Trading Solutions, 2021: CF Global Trading
As the buy-side increasingly views the sell-side as ‘algo delivery systems,’ asset managers are increasingly demanding ‘higher-touch’ solutions that address their trading pain points head-on. The coronavirus pandemic and the expanding working from home (WFH) environment have led to growing demand…
Contextual Decision Intelligence: Raising the Bar of AML Detection and Investigation
This Impact Report sets forth a case study that explores the imperative for new and emerging AML technologies for the financial services industry. It reveals how tools such as dynamic segmentation, entity resolution, network link analysis, and advanced analytics deliver greater risk coverage as…
Maximize Your Decision Intelligence by Analyzing Contextual Data Across the Enterprise
Only 10% of data deemed potentially useful by enterprises is actually being analyzed today. With the right technology, organizations can harness the value of their huge volumes of data. What will you learn from this document: - The missed opportunity of today’s analytics investments - Opening up…
Why do BI solutions struggle so much when it comes to market risk analytics?
This white paper addresses the deficits in business intelligence solutions for market risk since many lose performance once faced with non-linear calculations and aggregation of complex financial instruments. It also looks at how to weave together disparate technologies across the bank and…
Connected Data - Unlocking Hidden Value in Market and Reference Data Across the Organisation
Refinitiv recently conducted a survey of nearly 1600 executives who engage with market and reference data globally. This survey seeks to uncover how firms’ market and reference data strategies are evolving in response. What we found is that firms currently do not have access to the market and…
Agile model risk management: A new way forward for financial services
Model Risk Management (MRM) is moving up the corporate agenda as reliance on models grows and the scrutiny of management, stakeholders and regulators becomes more intense.