The 10th anniversary of the Lehman insolvency marks a fitting milestone to reflect on the dramatic changes that have transformed global financial markets and risk management over the last decade. But looking back is not a nostalgic exercise.
Rather, it is a necessary undertaking to understand how the markets and risk itself have evolved so that the industry is better prepared to prevent or mitigate the impact of future events that could have global systemic implications.
This white paper aims to raise awareness of key risks facing the industry and provides a series of forward-looking opportunities to help strengthen financial stability for the future.
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