Credit Risk white papers

Found  150 white papers and resources

Risk Library provides a number of credit risk white papers, industry reports and opinions, which can be used to aid the decision making process and to reduce your organisations credit risk exposure.

Credit risk is the type of risk that a lender assumes. As a form of compensation for taking on the risk, a lender receives interest repayments at an agreed upon rate. However, if a borrower defaults on agreed repayments, lenders may lose the partial or full sum and interest of the loan. This could result in the lender incurring further costs such as collection of debt owed and disruption to cash flow.


Display results per page

Hedging CVA and DVA

Company: Numerix LLC

This paper illustrates the challenges and complexities financial institutions face in hedging Credit Valuation Adjustment (CVA) and Debit Valuation Adjustment (DVA) in the present market and regulatory environment. VIEW SUMMARY

Category: Credit Derivatives | Published: 24 September 2013 | Type: White Paper

Rating: + 16

Delivering the front office of the future, today

Company: Misys

If you are a C-level executive or heading up a trading function in a bank, VIEW SUMMARY

Category: Compliance | Published: 31 July 2013 | Type: White Paper

Rating: + 11

Don’t get left behind – how financial services need to consider their IT infrastructure

Company: Pivotal

The global credit crisis exposed the weaknesses inherent in the risk management and IT infrastructures employed by banks. Learn how these weaknesses can be overcome to increase competitiveness and reduce risks. VIEW SUMMARY

Category: Technology Systems and Software | Published: 18 June 2013 | Type: White Paper

Rating: + 9

Achieving Basel III compliance – How to tackle IT and business issues

Company: Misys

Since its introduction the banking industry has had to make significant changes in order to meet Basel III’s strict set of requirements. This white paper reviews capital, risk management and technological challenges that the banking industry is facing in order to become Basel III compliant. VIEW SUMMARY

Category: Basel III | Published: 28 May 2013 | Type: White Paper

Rating: + 19

Margin lending: a brief introduction

Company: Field Fisher Waterhouse LLP

Margin lending has given individuals and corporate borrowers the opportunity to finance investments with the use of asset backed portfolios. This white paper analyses the structure of margin lending and its various risks. VIEW SUMMARY

Category: Credit Risk | Published: 13 May 2013 | Type: White Paper

Rating: + 8

Consumer credit - getting ready for the new regulator

Company: Wragge & Co LLP

The government recently decided to transfer regulatory responsibility of consumer credit and second charge mortgages from the Office of Fair Trading (OFT) to the Financial Conduct Authority (FCA). This white paper analyses this decision and sets out an anticipated time-line for transfer. VIEW SUMMARY

Category: Compliance | Published: 09 May 2013 | Type: White Paper

Rating: + 1

Using market and credit risk analytics to strengthen performance

Company: IBM United Kingdom Limited

The global credit crisis of 2007 caused extreme volatility within the financial system and exposed weaknesses within risk management practices. This white paper reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each. VIEW SUMMARY

Category: Risk Systems | Published: 09 May 2013 | Type: White Paper

Rating: + 21

High Growth Segment: New market now open

Company: Shoosmiths LLP

A recent announcement by the London Stock Exchange has ensured that the UK becomes a more attractive listing destination for fast-growing companies. This white paper reviews this announcement and analyses the rules that companies need to adhere to gain trading admission. VIEW SUMMARY

Category: Credit Risk | Published: 02 May 2013 | Type: White Paper

2012/2013: Challenging years for European asset managers

Company: Allen & Overy LLP

European asset managers face significant regulatory challenges. The impact of new regulation will be substantial and will cause upheaval and change in the sector. This white paper summarises European and US areas of regulation that will impact European asset managers. VIEW SUMMARY

Category: Compliance | Published: 01 May 2013 | Type: White Paper

Rating: + 2

Can Russian depositors get their money out of Cyprus' banking system?

Company: Goltsblat BLP

This white paper looks at the recent Cypriot banking crisis and how this has impacted depositors. It focuses particularly on three injunctions that have been granted by the Supreme Court and how they affect the billions of Euros that Russian depositors have in Cyprus’ two main banks. VIEW SUMMARY

Category: Credit Risk | Published: 25 April 2013 | Type: White Paper

Rating: + 4

Display results per page

As a member you receive free access to our constantly updated library of white papers, analyst reports, web casts and legal briefings.

  • Stay informed
  • Compare services
  • Save documents
  • Receive email alerts

As a member you receive free access to our constantly updated library of white papers, analyst reports, web casts and legal briefings.

Categories related to Credit Risk