Technology
680 white papers and resources
Below you will find technological white papers covering aspects of bank and finance trading. Also, information from some of the leading participants in this field covering what an organisation may need to think about when considering investing in new technology systems and how this will impact upon their business as a whole. Within the context of Risk Library, technology has been defined under algorithmic trading, market data, post-trade, risk systems, technology systems & software and trading systems.
The LIBOR transition: current challenges on the long road to resolution
The transition away from the London Inter-bank Offered Rate (LIBOR) represents one of the most fundamental changes in the history of capital markets. With a mere 14 months until the publication of LIBOR is due to cease (at the end of 2021), serious questions remain. In this report, Acuiti analyses…
Standard Chartered Bank: Turning Stress Testing From Compliance Tool to Competitive Advantage
Partnering with SAS, Standard Chartered Bank built a robust stress testing platform. It started out as a tool for regulatory compliance and was expanded for assessing the effect of crisis scenarios on its future P&L and balance sheet. The bank has migrated this Scenario-Based Analytics Platform to…
Data and analytics: Better decisions by the numbers
Financial institutions have massive repositories of data about their customers, leading some industry watchers to suggest that these troves of information may be their most valuable raw material, and perhaps their best defence against upstart competitors. But how well are banks and credit unions…
Asia family office investing in the new normal
This in-depth report explores the reasons behind emerging trends in investment management, and explains how solutions can serve family offices with the tools they need to navigate the new and challenging investment landscape.
Sharpening risktech's cutting edge - Maximising value from risktech investment
Compliance continues to take a big bite out of risk team budgets. With competing business priorities, banking CROs are left to pick and choose among the emerging technologies available to make enterprise-level ambitions a reality. This Risk.net survey report, commissioned by Wolters Kluwer,…
Banking on the Right Side of Recovery Post Covid-19
This IDC InfoBrief explores the fast-evolving dynamics of banking amid the crisis and the role of advanced data and analytics in accelerating digital adoption, augmented by sound risk management practices and intelligent decisioning.
Corporate Actions Processing: The Iterative Revolution Already Underway
This report will help you benchmark yourself along side the industry with regards to the challenges faced when working with corporate actions data.
The Pulse of the Industry
This research report is based on the results of a survey on the future of data and technology across capital markets.
12 key questions LDI managers should be asking
When the Market Flips its Lid, What Does it Mean for LDI? This ebook from Imagine Software explores the impact of 2020 on Liability Driven Investment strategies and identifies the 12 key questions that all LDI managers should be asking. Offering insight, answering key questions and providing…
Fine margins: Integrating risk and IM costs under new CCP risk models
This white paper assesses market participants’ efficiency in managing risk, margin and collateral amid increased volatility, and the transition to new central counterparty risk methodologies.