Bank risk manager of the year: Deutsche Bank

Risk awards 2011


Much like the three years preceding it, 2010 blew certain assumptions about bank risk management out of the water. The eurozone sovereign debt crisis that erupted early in the year led to market dislocations that caught some dealers off-guard, while the evolution of extensive new capital and liquidity requirements under Basel III also meant risk managers had to carefully consider the implications and plan for the new regime.

Deutsche Bank knows all about the disruption that can arise from market