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Webinar

Webinar: Ensuring An Effective Risk Modelling Framework

Company: IBM Business Analytics

IBM Business Analytics  case study

Category: Market Risk

Published: 13 June 2014

Format:

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Overview

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, host a webinar to discuss key challenges and benefits of implementing a single, unified, user-friendly framework for risk analytics with KLP Asset Management's Head of Investment Management Services.

Key topics include:

How to embed a risk management framework throughout an organisation by ensuring strong links between risk management, investment and operations
How can an organisation meet both regulatory and client demands while reducing maintenance and support costs?
How can using innovative cloud-based solutions to enhance decision making and increase user adoption?
How can users ensure that data on the cloud is secure?

Speakers include:

Moderator: Rob Mannix, Insurance Risk Editor, RISK.NET
Harald Harlem, Head of Investment Management Services, KLP
Andrew Aziz, Director, IBM Risk Analytics: Financial Engineering, Research and On-Cloud Solutions

 

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Categories related to Market Risk