Market Risk white papers

Found  191 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.

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Evaluating the Operational and Market Risks for Complex Energy Portfolios and New Energy Investments Optimisation

Company: Energy Exemplar

Evaluating the Operational and Market Risks for Complex Energy Portfolios and New Energy Investments Optimisation in Europe employing the Power of Hybrid Integrated Modelling. VIEW SUMMARY

Category: Commodities | Published: 21 May 2015 | Type: White Paper

Rating: + 3

Seven signs you’ve outgrown your treasury management system

Company: Calypso Technology

Seismic shifts in global regulation and a more complex banking landscape areleaving treasurers vulnerable. Legacy treasury management systems cannot meet increasing national and cross-border demands, or provide the real-time decision support tools needed to optimally monitor and control risk. No VIEW SUMMARY

Category: Compliance | Published: 14 May 2015 | Type: White Paper

Rating: + 10

DFA Capital Planning Shakes Up Banks’ Infrastructure

Company: HCL Technologies

In the past four years, the universe of US banks required to submit annual VIEW SUMMARY

Category: Operational Risk | Published: 13 May 2015 | Type: White Paper

Rating: + 4

Operational risk management in the world of big data

Company: IBM Business Analytics

Today, with operational risk emerging as a primary risk threat in all major economies, market players are looking to the potential of big data as a primary driver of next-generation operational risk VIEW SUMMARY

Category: Operational Risk | Published: 13 May 2015 | Type: White Paper

Rating: + 8

A New Approach to Regulatory Compliance

Company: HCL Technologies

Since the 2008 ‘financial crisis’, regulators in virtually every jurisdiction have significantly ‘upped the ante’ in terms of levels of disclosure, granularity, trace-ability and frequency of regulatory reporting requirements. VIEW SUMMARY

Category: Compliance | Published: 27 April 2015 | Type: White Paper

Rating: + 9

Reducing the Risk of Using Financial Models

Company: Numerix LLC

At their core, institutional financial markets exist to transfer risk. Whether via corporate lending, equity ownership or the creation and sale of structuredcredit derivatives, financial firms work to shuffle around different forms of risks—from those looking to mitigate it to those looking to take VIEW SUMMARY

Category: Private Equity | Published: 23 April 2015 | Type: White Paper

Rating: + 7

KLP empowers the front and middle office with advanced risk analytics

Company: IBM Business Analytics

This paper looks at how accurate modelling helps risk managers make better decisions by adopting cloud-based solution to model risk across all asset classes, each user is provided with instant web access to key risk measures and timely, personalized reports. VIEW SUMMARY

Category: Operational Risk | Published: 21 April 2015 | Type: White Paper

Rating: + 3

Real-World Equity & Volatility Behavior: Implications for Economic Scenario Generation

Company: Numerix LLC

This paper examines the differences between risk-neutral dynamics and real-world dynamics, and the important role of risk premia. We highlight why real-world dynamics are necessary for risk analysis and scenario generation, and also explore the roles of the equity premium and volatility premium in VIEW SUMMARY

Category: Operational Risk | Published: 16 April 2015 | Type: White Paper

Rating: + 6

OECD CRS: The Global Challenge for Automatic Account Reporting

Company: Software Daten Service

FATCA, and in particular the implementation via intergovernmental agreements, has triggered a global wave VIEW SUMMARY

Category: Compliance | Published: 31 March 2015 | Type: White Paper

Rating: + 5

Emerging initial margin requirements

Company: IBM Business Analytics

Ongoing market uncertainty over the new and evolving margin regime for non-cleared over-the-counter derivatives has drawn many questions from firms, with too few reliable answers. This global survey – conducted by Risk and sponsored by IBM – is one of the first, VIEW SUMMARY

Category: Credit Derivatives | Published: 26 March 2015 | Type: White Paper

Rating: + 4

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