Risk Management
877 white papers and resources
Risk Library provides a selection of risk management white papers which address key questions which can be used in reducing the dangers for your organisation faces and how to utilise any opportunities which may ensue to their maximum capability. Risk management is the assessment and mitigation of risks which have arisen by changes on a local or global scale. Risk management may involve realising opportunities that have resulted from these changes. Within the context of the Risk Library, risk management has been defined under asset liability management, credit risk, enterprise risk management, liquidity risk, market risk, operational risk and settlement risk.
Which multi-asset class risk model is right for you?
This guide details three multi-asset class risk models that global firms rely on and the benefits of each:
Next steps for MRM in South‑east Asia
Financial institutions across South‑east Asia face challenges assessing and measuring non-financial risks (NFRs) inherent in their business models, and are therefore concerned about regulatory scrutiny, transparency and the use of models within their businesses. SAS explores how financial…
Real Estate Business Plan Modelling via Monte Carlo Simulation
This whitepaper provides an overview of the real estate sector before looking at a fully integrated and macro-based stochastic simulation tool for the evaluation of a real estate investment via Project Financing.
Four Paths to Managing Third-Party Risk in the Digital Era
This paper describes four aspects of third-party relationships that an organization must address in their effort to successfully manage third-party risk.
Credit Risk Management Under Basel IV and Beyond
Basel IV has changed the way banks need to deal with the impact of credit risk on their finance, risk and regulatory compliance functions. It is no longer enough to address credit risk in isolation, as was the case under the Basel I and II guidelines.
The LIBOR Countdown: Focusing on Derivatives and the Impact of COVID-19
This whitepaper provides expert opinion and sheds clarity on many of the transition issues market participants need to understand.
CASE STUDY: DWS Group Improves Credit Trading Performance
This whitepaper is a case study on a recent project that DWS Group undertook to increase straight-through processing rates
Revised Capital Requirements Regulation Rules: CRR2 Reforms And Beyond In The Age Of COVID-19
In this whitepaper, AxiomSL outlines upcoming changes to Basel regulations and the resulting challenges faced by financial institutions. AxiomSL then offers insight into best practices for identifying and resolving these challenges and creating efficiencies when addressing the ever-changing…
The 5 faces of dynamic workforce risk
This whitepaper explains the five faces of dynamic workforce risk.
Building Resiliency For Times Of Disruption
This whitepaper details the five steps you can take to reduce the impacts on your organization, people, customers and business objectives.