Opinion/Risk management
Online clearing: the shape of energy markets to come
The energy trading market is moving towards a structure in which participants achieve market presence through a dedicated market network, rather than having to use local or regional exchanges, says strategic consultant Chris Cook
A new look at credit risk capital
In the second of two articles on Standard & Poor’s refinement of analytical methodology, John Kennedy discusses an updated approach to evaluating credit risk capital
Looking back on 15 years
Comment
An overwhelming problem
Introduction
ART for the masses
Alternative Risk Strategies edited by Morton Lane Risk Books 650 pages, £85/$128 ISBN 1-899-332-634
The convergence of ALM and ERM
Banks seeking a truly complete view of their exposures are beginning to seek ways to integrate the enterprise risk management systems they use for their trading books with the asset and liability management systems they use for their banking books. Clive…
Correlation and credit risk
Active development of full credit portfolio modelling continues apace, even though it is not recognised in the proposed Basel II framework. An important issue is the relationship between probability of default and loss-given default. In this last of four…
RiskNews review
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Invisible risks
Op risk managers can expose yesterday’s loss and today’s weakness, but they cannot quantify the risk of tomorrow, says Benedict Roth of Rabobank International