Risk management

For more than 30 years, risk management professionals have turned to Risk.net for exclusive insight into the complexities and nuances of financial risk management and risk transfer. From showcasing the latest quantitative models to analysing regulatory developments in derivatives and clearing, Risk.net promotes best practice in risk monitoring and mitigation. Covering all global capital markets, from equities and interest rates to fixed income and commodities, Risk.net highlights the most important trends in capturing and mitigating market, credit, operational and liquidity risk.   

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Thriving in the new resilience normal

While the Covid-19 pandemic may be largely behind us, new challenges emerge as firms renavigate and optimise operations in the ‘new normal’. Today the focus has shifted to making operational resilience scalable and sustainable. In a Risk.net panel…

Project finance risk methodologies

Federico Tacchetto, senior manager at Prometeia, describes how to calculate risk parameters for project finance exposures. Based on a simulation approach of the cashflows, it is assessed whether the generated net revenue will be sufficient to repay the…

FRTB: a question of strategy for US banks

Standardised model or internal model? Short-term fixes or longer-term gains? This Risk.net white paper explores the key decisions facing US banks as they look to future-proof their FRTB implementations.

Conduct risk: be proactive, stay ahead

As concerns around conduct risk abound, firms need to arm up and tighten surveillance to stay ahead. Lee Garf, general manager at NICE Actimize, explains why market abuse remains the biggest risk to financial markets firms today

The rise of non-financial risks

Naeem Siddiqi, senior adviser, risk management, risk research and quantitative solutions at SAS, discusses the effectiveness of stress-testing as a risk management tool in rapidly changing markets, the role of new technologies in developing robust data…

Investment banks: the future of risk control

This Risk.net survey report explores the current state of risk controls in investment banks, the challenges of effective engagement across the three lines of defence, and the opportunity to develop a more dynamic approach to first-line risk control

Peacetime stress‑testing applications

Leo Sadovy, analytics consultant, risk, finance and banking, and solution lead for SAS‘s scenario analysis and stress-testing solution, sets out the key role of strong decision-making and the importance of being able to innovate and respond to adverse…

Building a resilient company and communities

A slew of challenges is testing the mettle of companies and communities alike. For Sarah Friar, chief executive of local information app Nextdoor, thriving in this uncertain environment requires diverse perspectives, a tilt to local solutions, playbooks…

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