Features/Technology
Tighter budgets and looming regulation are key factors impacting decisions around energy trading and risk management software systems this year, according to Energy Risk’s Software Survey. David Wigan...
New regulations and evolving client needs are requiring vendors of economic scenario generators and actuarial modelling systems to upgrade their products. Clive Davidson reports on how the developers are...
The A to Z of risk management technology for insurers
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Features/Technology articles
It can take hours for traditional bank systems to run portfolio risk models. That’s too slow for some banks, which are now exploring unwieldy – but quick – field-programmable gate arrays. By Clive Davidson
A splintering of the eurozone would require a host of changes to financial technology – from minor tweaks to major re-engineering. Some companies are working out how they would cope. By Clive Davidson
Middleware vendors looked set to be big winners in the overhaul of over-the-counter derivatives markets, but they face competition from swap execution facilities. By Michael Watt
Europe’s revised Markets in Financial Instruments Directive appears to leave the door open for derivatives trading platforms to offer voice trading – but rules on transparency may slam the door shut. By Joe Rennison
Build or buy? It’s a key decision in every big IT project, and the shift to over-the-counter clearing is one of the biggest the industry has ever faced. Many dealers are adapting existing in-house systems, but vendors are also pushing off-the-shelf...
Hedge fund managers are outsourcing IT infrastructure to the cloud as a way to save money. However, counterparty risk, security and reliability are of particular concern to investors.
Aggregation services are being touted as one way to reunite a fragmented trading landscape – but they will need to navigate different trading and communication protocols, plus a market that could consolidate of its own accord. Clive Davidson reports...
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
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