Market Risk
378 white papers and resources
Risk Library provides a number of market risk white papers, industry reports and opinions, which can be used to aid the decision making process and help reduce your organisations exposure.
Enterprise compliance: The Risk Intelligent approach
As globalization continues to take hold and government regulation broadensaround the world, spilling across country borders, the issue of compliance risk remains a top-shelf business issue. It’s not just an item on the agenda. Compliance is its own agenda these days. And with good reason. Given the…
Creating Flexible Risk Reporting
This paper looks at how investment management, reference data and risk technology can help organisations effectively function within new regulatory environments by leveraging risk systems across multiple asset classes to identity more efficient trading solutions
Global Anti-Money Laundering Survey 2014
It is 10 years since we released our first Global Anti-Money Laundering (AML) survey. During those 10 years, financial institutions have ridden the highs, and plunged to the lows, of the economic cycle. Despite these dramatic changes in the business environment, AML has remained a key focus area…
Cross-border investigations: Are you prepared for the challenge?
Conducting cross-border investigations is no simple endeavor. Add the complexities of legal and cultural differences, and you have arguably one of the biggest challenges facing global corporations today. There are obstacles at every step of a cross-border investigation, including initially…
Over the horizon: General Counsel Report 2014
In 2012, KPMG International published Beyond the Law, a global study of how General Counsel (GC) are turning risk to advantage, based on a survey of GCs around the world. This 2014 analysis Over the horizon explores more fully some of the themes that emerged from the 2012 survey to show how GC are…
Risk Neutral Modeling for Economic Scenario Generation: In Theory and Practice
This white paper explores the theory behind and practice surrounding Risk Neutral Modeling for Economic Scenario Generation (ESG). In addition to laying out the foundations of the RiskNeutral Measure and Fundamental Theorem, this study also sets forth several practical case study examples that…
ORSA and Enterprise Risk Management
This whitepaper focuses on enterprise risk management as the foundation for regulatory compliance and strategic business decision making. For insurance organizations that are required by regulators to implement an ORSA program, it also provides a framework and the processes that will produce a…
Webinar: Ensuring An Effective Risk Modelling Framework
The recent financial crisis has ensured that effective risk management is the primary focal point for the financial industry. Institutions are increasingly looking at ways to improve their risk management practices to drive better investment decisions across multiple asset classes. Risk and IBM,…
The hidden revolution in real-world monitoring
With more data available to us than ever before, harvesting, consolidating andtransforming it into actionable insight has become Thomson Reuters’ mission, as discussed here by Leigh Henson, global head of energy, and Stefan Reichenbach, global head of commodities research and forecasts
Hedge funds face growing risk, technology and data challenges
Hedge fund managers need to concentrateon performance. But technology requirements, particularly in a multiasset class and highly regulated, complex environment, can prove to be a distraction. Bennett Egeth is president of Broadridge Investment Management Solutions,a provider of technology to more…