Risk Systems
291 white papers and resources
Risk systems
The Total Economic Impact™ Of IBM OpenPages With Watson
IBM recently commissioned Forrester Consulting to conduct the Total Economic Impact (TEI) study that evaluated the financial impact of IBM OpenPages with Watson on organizations. Learn how IBM OpenPages with Watson, an AI-driven integrated GRC platform, can cut license and implementation costs and…
COVID-19 and LIBOR Transition: Taking a Market-led Approach
This white paper examines regulatory pronouncements with regard to COVID-19 impacts on LIBOR transition plans and recommends how financial institutions must continue LIBOR project execution, in parallel with their business-as-usual activities.
Cloud: The future of FX trading
This whitepaper details the key trends set to impact the institutional FX markets in 2021 and beyond, using research conducted by FX Markets and Integral with heads of FX trading and senior FX managers around the globe. The paper explores how 2020 has changed and accelerated trading and workflow…
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…
Digital Transformation of Banking with Google Cloud
Banks are facing increased challenges, clearing identifying the need for digital transformation.
EDM client case study: Managing SRI-ESG data
This case study reveals how Mirabaud Asset Management is using IHS Markit’s Enterprise Data Management (EDM) platform to establish a strong foundation for the its long-term SRI-ESG (socially-responsible / environmental, social and governance investing) strategy. This includes empowering Mirabaud’s…
Eight red flags that indicate you need a better risk management approach
This whitepaper sheds light on key indicators that will guide you in identifying if your approach needs modifying to propel the organisation forward with fast and actionable insights to ensure you are delivering effective risk management.
LIBOR: The use and benefits of an index for RFRs in cash products
This whitepaper explores the complications caused by the changes in interest calculations when using RFRs and how they can be addressed through use of an index. This paper explores the complications and how they can be addressed through use of an index.
The key to successfully integrating your planning and risk processes
This Whitepaper will explore the best way for an organisation to bring the two equally important processes of risk and organisational strategy, centered around performance measurement, monitoring and reporting, under one coherent and cohesive framework to further drive strong business performance…
2020: What Are the Takeaways for US Insurance CROs?
This whitepaper looks at the events and market data of 2020 and discusses the possible takeaways for the risk professional in planning for future economic crises. The use of economic models is considered, as well as the effects on losses and premiums.