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.
Talking XVA: Pace of Adoption, New Technology & Cloud
To help better understand some of the key challenges, opportunities and trends that are influencing the XVA story today, this white paper shares insights on key topics including: the global adoption of XVA measures; the optimization of MVA and SIMM sensitivities; and XVA calculations on the cloud.
Agile Data Mastering – A modern, agile approach to solving the data mastering challenge
Download this ebook to learn more about Agile Data Mastering (ADM), the pillars of ADM and its key features and benefits.
SmartStream Technologies – Artificial Intelligence Product Roadmap
This report focuses on seven of SmartStream Technologies’ key products and services— SmartStream AIR, SmartStream Aurora, SmartStream Reference Data Utility, TLM Fees and Expense Management, TLM Collateral Management, TLM Reconciliations Premium and SmartStream Managed Services— and outlines the…
Mastering Financial Customer Data at Multinational Scale
This white paper explains why traditional master data management (MDM) systems do not scale to meet the needs of large, multinational financial companies. It further explores a new MDM reference architecture that applies machine learning algorithms to the problem.
Coping with uncleared margin rules – the tricks, traps and tools
This white paper discusses the potential impact of UMR on portfolios, profitability, strategy and resource. If further highlights key decision stages in best-practice UMR planning and compares the evolving strategies of in-scope banks and buy-side firms.
Smarter trading in a fragmented world
In a survey conducted by FX Week in collaboration with Refinitiv of more than 100 FX traders in Asia, we uncovered several trends that highlight current developments in the industry. Key discussion points include: Making the most of volatility; finding liquidity in a fragmented market; and…
The Future of Banking: A Financial Concierge for Everyone
As customers take their transactions from the branches to the digital channels, banking has become less and less personal. This white paper discusses the advantages banks can realise by utilising conversational banking.
Custom Software Comes to the Fore
This white paper investigates current custom software trends across the capital markets and how these firms can make the all-important business case for developing and deploying proprietary applications.
Data – the new natural resource
This white paper aims to help you make data-driven decisions with actionable insights to deliver the best possible customer experience. It further provides 4 tips for better engaging your customers.
Model Risk Management | How to measure and quantify model risk?
The intent of this paper is to analyse how model risk management requirements change the banks’ view on their models, especially regarding the quantification of associated risks, and to introduce a new framework methodology.