Risk Management
884 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.
Benchmark your Whistleblowing Hotline Against EMEA & APAC Organisations: Where Do You Rank?
The webinar will explore the new trends for reporting your whistleblowing hotline and discovers benchmarks you can use to evaluate your own results.
10 Step Guide to Collateral Management
This white paper will cover all fundamental aspects concerning the management of collateral, the associated risks and opportunities, as well as the key topics involved in establishing and running a collateral management function.
Quantification of End User Computing Risk in Financial Services
This report details the risks associated with End User Computing (EUC), as well as the potential consequences to financial institutions. It further discusses the importance of a quantified approach to EUC risk.
Understanding the Riskiness of A GLWB Rider For FIAs
This white paper assesses the risk associated with a GLWB rider for FIAs and analyses how different modelling choices can affect these risks. In Particular, the impacts of improving the estimate of future caps will be explored.
Data integrity for MiFID II
This white paper explores the differences between the orignal MiFID I and the new MiFID II; the challenges financial institutions will face; and who is responsible for trade reporting under the new regulation
Silicon Valley Meets Houston: The emergence of collaboration in energy markets
This white paper highlights how the energy markets can take inspiration from Silicon Valley to establish collaborative business models to discover new opportunities.
‘Finalized,’ but Far from the Finish Line – Preparing for the Next Evolution of FRTB
This white paper breaks down the requirements, methodologies and formulas relating to the 'final' FRTB text. It further provides a more simplified understanding of the potential IT challenges and costs ahead.
Changes in the market structure and their implications for financial stability: Exclusive video content from the annual Risk USA Conference
In this exclusive video content from the Risk USA Conference, hear from Patrick Pinschmidt, the Deputy Assistant Secretary at the US Treasury Department talk about the secular and cyclical factors that are currently affecting the ways our markets are functioning.
Forming FRTB action plans: Tactical vs. Transformational
This report, examines what banks are doing to achieve FRTB compliance and shares examples of best practice from banks who are leading the way. It looks at the operational impacts of implementing new measures and new technologies, and the expected impact on regulatory capital requirements.
Breaking down IFRS 9 implementation
This white paper addresses the common technical and operational issues involved in IFRS 9 projects and solutions implementation, outlining areas of best practice and common pitfalls that should be avoided.