Editor, Risk management
Tom Osborn is the desk editor of Risk.net’s risk management coverage, overseeing a team of journalists based in New York, London and Hong Kong.
Prior to joining Risk, he reported on the futures and foreign exchange industries for Dow Jones' Financial News and the Euromoney group.
Tom holds a bachelor’s degree in English literature from the University of Warwick, UK.
Banks risk becoming a “whipping dog” in the fight against climate change, says departing risk chief
LME episode comes amid scrutiny of UK regime and fresh Brexit row
Regulator is actively looking to beef up reporting and data aggregation capabilities for index swaps
CFTC chair says recent market shocks highlight value of Fed accounts; Congressman agrees
For a generation of bankers and vendors, client hospitality was part of life. But the party is winding down
After DBS switched supplier, a row broke out, raising questions about entertainment and influence
Strategic shift from OTC clearing powerhouse to client support function marks the end of an era
By waiving a $2.2 billion cash call for Robinhood, members worry the NSCC may have dug itself a trap
Futures industry snubbed chance to build post-trade utility before. Now, it really needs one
A contested result was unexpected, but scenario planning meant banks weren’t unprepared
Crowd-sourced election scenarios show sharp falls and correlation breaks if Trump challenges results
CRO talks loan reserves, VAR breaches, and the lessons of a lurid past