Risk Systems
291 white papers and resources
Risk systems
Case study: Rabobank achieving strategic transformation with Murex MX.3
Crises throughout the last decades have led financial institutions to seek, devise and implement solutions to lower the cost of their operations, focus on their core businesses and speed up their go-to-market innovation. This case study identifies how Rabobank’s was able to achieve a strategic…
The landscape ahead for FX options desks: a Murex expert series
FX options desks face an increasingly complex and demanding context. The challenges they confront necessitate automation, digitization, proper risk and lifecycle management and sophisticated, leading analytics. Learn more in a series of expert articles outlining what’s ahead for FX options desks…
FRTB: a question of strategy for US banks
As pieces of the FRTB puzzle fall into place, the model methodology reshuffle raises new questions for US banks hoping to heed the lessons from their FRTB forerunners in Europe and beyond. This Risk.net paper explores the key decisions facing US banks as they look to future-proof their FRTB…
Risk control 2022: what’s now and what’s next?
Amid a complex and rapidly changing threat landscape, pressure is growing on investment banks to improve the robustness of risk controls across their organisations and take a more forward-looking view of operational risk. This Risk.net survey report explores the current state of risk controls in…
Investment Management: Harnessing Data Insights to Drive Innovation
To prepare themselves for the future, firms must readily embrace AI, ML, and natural language processing (NLP) based solutions to achieve operational and strategic targets. By doing so, they will discover how powerful data insights are when coupled with the right set of approaches and tools. In…
Decrypting crypto: explaining the market from an institutional perspective
A new whitepaper series takes an institutional perspective in examining the multiple dynamics of the cryptocurrency space. In part I explore the increasing range of crypto derivative products that are attracting more capital to the sector and learn how a growing, vested institutional interest in…
Climate intelligence: today and the future
This IDC Market Perspective covers the dynamics of the rapidly evolving AI and ML climate intelligence (CI) market. It includes an overview of why climate intelligence is needed, the fundamentals of climate intelligence and trends, the difference with data analytics and examples of customer success…
Archegos collapse raises red flags about risk management systems - and underscores need for investment in technology
This article reveals how the Archegos debacle exposed cracks in banks’ risk systems. Explore key insights including: How bank losses were, overall, the result of a failure to invest in risk technology, the fact that XVA capabilities were not appropriately engaged to assess and remediate the risks…
The XVA challenges energy traders face in a complicated and volatile market
As the energy sector has recently experienced extreme fluctuations in price and other dynamics due, in part, to Covid-19 pandemic-related and geopolitical effects, in this paper we take a look at some of the challenges energy traders face when seeking to apply XVAs to their derivatives transactions.
2022 Survey: Digital transformation and the future of GRC
Covid-19 is forcing the pace of digital adoption in financial firms, placing new pressure on digital channels and processes. As new risks emerge, firms must adapt their governance, risk and compliance (GRC) processes and capabilities to mitigate emerging threats, stay compliant, and enable agile…