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Corporate statement: German investment
With investor confidence being slowly rebuilt, UniCredit’s Juliane Bürger offers some valuable insight and advice to investors into choosing the right product, the advent of reverse convertible product offerings and the market volumes, now that it is…
Corporate statement: Listening and learning
After the seismic market shocks in 2008 and early 2009, structured products have remained widespread in the media focus. As summer holidays come to an end and schools reopen, we consider the lessons learned and what is on the curriculum for the year ahead
Sponsored statement: Sunrise brokers - a winning formula
Launched in 1991, Sunrise Brokers is a dominant force in the derivatives space. In this year's Risk interdealer rankings, Sunrise takes first place - for the third year running - in equity derivatives and dominates structured derivatives. Claude Amar,…
Sponsored statement: Judgement calls
The credit crisis has exposed a number of failings in risk management at financial institutions around the globe, triggering a glut of proposals for new legislation and new regulation covering everything from bank trading books to central clearing…
Sponsored Q&A: Exchanges
Paul Cusenza, Chief Executive Officer, discusses the advent of Nodal Exchange, its unique offering in the US power market and his belief that much of the OTC cash-settled power market in the US can be put on exchange
Sponsored statement: Using collateral management to address credit risk issues
Omgeo outlines the challenges being faced by collateral managers since the collapse of Lehman Brothers 12 months ago, and how these challenges to standardisation and automation can bring the collateralising community together
Sponsored statement: Growth in complex times
Continuing our focus on derivatives collateral management, this month we talk to Mark Higgins and Scott Linden from BNY Mellon, about the latest initiatives around derivatives collateral management and their vision for the future of the market
Sponsored statement: Liquidity management - an opportunity for action
Effective management of liquidity risk is more critical now than ever before. The consequences of failure are not simply lower profits: they are far-reaching and highly destructive. Firms are under increasing pressure to identify early warning signs and…
Key questions surrounding integrated GRC
Protiviti
Integrating fraud detection and prevention into a GRC framework
Oracle Financial Services
Liquidity risk – an integrated approach is the only realistic solution
For many years, financial institutions have been using the Murex enterprise risk platform for market, credit and liquidity risk management. Today, and in view of the recent market volatility, those users are appreciating the advantages of a multi-asset…
Valuation & transparency
Corporate statement
Risk management recast
Criticism of the role of inadequate risk management in helping to cause and worsen the financial crisis has tended to focus on technical issues such as the limitations of value-atrisk. Certainly, technical challenges abound. But it seems that the most…
Webinar -- Managing Op Risks in Crisis
Register to listen to a Webinar from OpRisk & Compliance, held on March 31, in London, featuring Simon Wills from ORX and John Wittaker from Barclays, sponsored by OpenPages.
Trusted to make the right decision
Dr Laurence Wormald, head of research at SunGard's APT, discusses new research that illustrates how the right risk analytics can help firms manage their portfolios during this volatile time