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Configuration and control: next-level risk analytics for alternative assets
The evolving needs of traditional and alternative asset industries
Front office open to AI promise
AI offers real potential for capital markets firms. But how disruptive, and how immediate, will the impact be?
Expert vision, efficient execution
Why more investors are turning to third-party portfolio implementation platforms to maximise efficiency and impact
Riding the storm: banking in the era of climate risk
Climate-related risk is playing an increasing role in banks’ future strategies, resilience and prosperity
Technology risk management: detection to protection
From simple risk detection to comprehensive protection by expanding your vision, capabilities and influence
Mitigating model risk in AI
Advancing a model risk management framework for AI/machine learning models at financial institutions
2025 capital market expectations: slowing but not sinking
Monetary policy is the governor of the relationship between growth and inflation
Yen rise spurs Japanese rates market surge
Traders are moving on an expectation of increased yen volatility in 2025
Strengthening technology resilience and risk controls against multidomain disruption
The consequences of multidomain disruption and best practice strategies to enhance digital resilience
The key traits of resilient E/CTRM systems
An Energy Risk Europe panel explored whether E/CTRM systems are meeting the evolving demands of traders
Revolutionising compliance: next-gen technology for new-age regulation
A whitepaper exploring prevailing compliance challenges and the implications of regulatory changes on data and reporting technology
Strategies for navigating market volatility in the post-US election landscape
Market volatility following the US election, including inflation risks, commodities, geopolitical uncertainty, ESG considerations and the role of advanced analytics in investment strategies
Charting volatility: strategic insights on Apac monetary policy divergence and market dynamics
Key drivers of market fluctuations, the impact of currency and interest rate differentials, and technology-driven strategies for risk mitigation in portfolio management