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.
Risk in investment audiocast Pt 1 (US) – A multi-dimensional view of risk during times of crisis
This two-part audiocast series produced by Risk.net and MSCI examines the changing shape of risk in investment, the lessons learned from the current crisis, and how risk can be used to drive performance in volatile times. In this first audiocast, Michael Hayes, Executive Director, MSCI Research,…
Risk in investment audiocast Pt 2 (Apac) – Utilizing risk to highlight opportunities in volatile times
This two-part audiocast series produced by Risk.net and MSCI examines the changing shape of risk in investment, the lessons learned from the current crisis, and how risk can be used to drive performance in volatile times. In this second audiocast, Oleg Ruban, Head of Analytics Applied Research,…
Risk in investment audiocast Pt 1 (Apac) – A multi-dimensional view of risk during times of crisis
This two-part audiocast series produced by Risk.net and MSCI examines the changing shape of risk in investment, the lessons learned from the current crisis, and how risk can be used to drive performance in volatile times. In this first audiocast, Oleg Ruban, Head of Analytics Applied Research, Apac…
Building Artificial Intelligence in Credit Risk: A Commercial Lending Perspective
This whitepaper, drawing on recent academic evidence and business insights, provides a contemporary look at what AI and ML adoption could mean for commercial lending and credit risk assessments while also proposing different approaches to AI and ML adoption tailored to each step of the commercial…
Scenario-Based Risk Management: Overcoming the Challenges
This whitepaper explores how financial institutions can use technology to address some of the key challenges of extending enterprise stress testing processes to support scenario-based risk management, operate much more efficiently and derive greater business value from their stress testing…
The Current State of XVA Usage in Latin America
This whitepaper shares key insights regarding the reality of XVA usage in Latin America today.
Advanced Technologies Offer an Escape Route for Structured Products When Crises Hit
In this report we consider how the ongoing revolution in risk-management technology can help firms address their immediate issues in times of crisis, how advanced technologies are evolving, and the impact they can have in the context of events such as the recent COVID-19 pandemic.
Letting go of Libor – the evolving transition strategies of 110 banks and buy-side firms
This whitepaper and survey report provides unique insight into the evolving strategies of banks and buy-side entities following a survey Risk.net conducted assessing firms’ readiness for transition
Uniper’s digital transformation in trading, treasury, and risk management
Read this case study to discover how Uniper, a German energy giant, has realized performance gains, cost reduction, improved stability and simpler issue resolution, tighter security, faster upgrades, and increased innovation through its migration to the cloud.
Stress-testing amid Covid‑19
The Covid‑19 pandemic has proved to be a real-life stress test for the banking sector as firms adjust to new ways of working. Here, SAS explores how the pandemic has magnified the importance of stress-testing, scenario analysis and contingency planning to ensure business can resume as usual in…