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 markets for Dow Jones' Financial News and the Euromoney group of publications.
Tom holds a bachelor’s degree in English literature from the University of Warwick, UK.
New research suggests quantum machines will dramatically improve settlement efficiency
As expansion of SMR to smaller firms looms, regulator says plenty of bankers are under scrutiny
Banque Pictet quant explains a new backtesting method for expected shortfall
Scheme to agree on common risk drivers could help Fed benchmark risk exposures, says JP op risk expert
CCP members wary of illiquid risks
Course director discusses machine learning explainability and reclaiming game theory from economists
Divide between industry and academia worries practitioners and professors
Risk USA: Firms may be allowed to spread impact of projected losses across CCAR cycle
Banks and regulators grapple with ‘XAI’ challenge
Jibar based on product that rarely traded during two-year period, says central bank official
Dealers urge South African Reserve Bank to depart from Basel standards on NMRFs
The Lehman crash still haunts the margin models of LCH, CME and Eurex, albeit in different ways