Risk Systems
291 white papers and resources
Risk systems
Top-Tier US Banks Capital Plans
This white paper highlights the key elements of the banks’ capital plan submissions which were identified as suffering from critical weaknesses. The thirty top tier US banks now involved in this high stakes annual assessment are painfully aware that even a passing grade is insufficient to meet…
Evaluating the Operational and Market Risks for Complex Energy Portfolios and New Energy Investments Optimisation
Evaluating the Operational and Market Risks for Complex Energy Portfolios and New Energy Investments Optimisation in Europe employing the Power of Hybrid Integrated Modelling. Today, it is widely accepted that the Global Community is facing significant challenges in the energy sector that stem from…
Seven signs you’ve outgrown your treasury management system
Seismic shifts in global regulation and a more complex banking landscape areleaving treasurers vulnerable. Legacy treasury management systems cannot meet increasing national and cross-border demands, or provide the real-time decision support tools needed to optimally monitor and control risk. No…
DFA Capital Planning Shakes Up Banks’ Infrastructure
In the past four years, the universe of US banks required to submit annualcapital plans supported by company-wide stress tests to the Federal Reserve for assessment has grown from 19 to more than 80. At the same time, the standards prescribed by the Federal Reserve have grown progressively more…
Reducing the Risk of Using Financial Models
At their core, institutional financial markets exist to transfer risk. Whether via corporate lending, equity ownership or the creation and sale of structuredcredit derivatives, financial firms work to shuffle around different forms of risks—from those looking to mitigate it to those looking to take…
KLP empowers the front and middle office with advanced risk analytics
This paper looks at how accurate modelling helps risk managers make better decisions by adopting cloud-based solution to model risk across all asset classes, each user is provided with instant web access to key risk measures and timely, personalized reports.
Creating Safe and Fair Markets
In this white paper intended for the wider financial industry, we present our vision for the design and regulation of electronic financial markets empowered by formal verification.
Real-World Equity & Volatility Behavior: Implications for Economic Scenario Generation
This paper examines the differences between risk-neutral dynamics and real-world dynamics, and the important role of risk premia. We highlight why real-world dynamics are necessary for risk analysis and scenario generation, and also explore the roles of the equity premium and volatility premium in…
OECD CRS: The Global Challenge for Automatic Account Reporting
FATCA, and in particular the implementation via intergovernmental agreements, has triggered a global waveof regulatory measures geared towards an automatic exchange of tax-related information and increased tax transparency. This currently culminates in the upcoming implementation of the OECD Common…
Governance, risk and compliance survey 2014
For firms wrestling with the ever-changing demands of regulation and risk management, an integrated governance, risk and compliance (GRC) solution can be a powerful ally. However, this survey of risk practitioners, conducted by Operational Risk & Regulation and sponsored by IBM, reveals that many…