Risk.net is a unique information resource. Our content manifesto is not to simply reproduce news content that you can easily obtain elsewhere. Instead, we're globally renowned for producing stringently researched, deep analytical content that forensically reviews the latest risk management, derivatives and complex finance issues. Quite simply, our role is to make sure you’re not alone whilst trying to navigate through this period of unprecedented change.
Without a doubt, 2020/2021 has been the most volatile and precarious year in recent history. For the first time, all organisations faced significant challenges to business continuity and felt the immediate impact of decentralisation. Gain insights from Risk.net’s 2021 OpRisk Global event formulated…
This special report explores the future of stress-testing in the post-Covid-19 era, how firms are tackling the operational and technological challenges involved and how they can maximise value from the strategic insight afforded by the process.
This research report offers an inside view on the key challenges these firms are facing in moving to a greener future, the progress made to date, and what's needed to drive sustainable change
This market report conducted by Risk and Chartis breaks down risk management technology and opportunities. Among many things, the report examines the risk technology solutions landscape as well as the key risks faced by many of today’s buy-side organisations.
This market report conducted by Risk and Chartis, breaks down all aspects concerning IFRS 9. Among many things, the report will highlight the challenges financial institutions face as well as how these organisations can incorporate the correct IFRS 9 techniques. This market report is in association…
Exclusive keynote speaker and panellist video content from the Inaugural RiskHedge New York Conference
Risk and Hedge Funds Review are delighted to provide you with exclusive keynote speaker and panellist video content from the Inaugural RiskHedge New York Conference – the 1st event for leading thinkers of risk and portfolio management with in Hedge Fund and Asset Management industry.