Video
Charting volatility: strategic insights on Apac monetary policy divergence and market dynamics
A webinar covering key drivers of market fluctuations, the impact of currency and interest rate differentials, technology-driven strategies for risk mitigation in portfolio management, as well as innovations in asset and liability management during uncertain environments
Adapting to ever-evolving technology for trading and risk management
A webinar exploring the challenges faced by financial institutions, delving into the innovative technologies and tools that are helping organisations stay ahead in the Apac financial market
Integrating climate into market and credit risk frameworks: what’s next?
A webinar on climate risk, discussing how and why it needs to be integrated into short-term risk assessments
AI and automation in financial crime: elevating compliance and data management
This webinar explores how AI, process automation and strategic data management can transform your data and compliance landscape in the fight against financial crime
Enhancing counterparty credit risk management in modern banking
A webinar addressing banks' strategies for optimising credit risk mitigation strategies and utilising risk-sensitive margining to manage counterparty exposures effectively
Real-time risk management in the age of dynamic markets and data
This webinar delves into how recent operational overhauls are influencing numerical considerations and strategies for real-time risk management in dynamic markets
Advancing risk management using new data techniques
This webinar shares best practices on how risk management can be improved and insights on how risk managers can use big data to improve risk modelling
Price sensitive: maximising value from IPV data and valuation control
A webinar assessing the changing demands of IPV and valuation control as part of a robust risk management strategy, and how banks can ensure data quality and compliance in the future
The future of intelligent automation for next-level risk management
A webinar exploring pivotal market factors and trends regarding risk management and automation, providing insights on how to automate tasks safely and effectively, plus an understanding of benchmarks practitioners could use when managing complex risks in…
Conquering new heights in regulatory reporting: innovations in regulatory compliance
In this dynamic environment, financial institutions that can integrate technology innovations such as artificial intelligence into their strategies are poised to revolutionise compliance processes, streamline operations, and enhance risk management
Joining the dots: banks leverage tech advancements for the future of regulatory reporting
The continued evolution of regulatory frameworks is creating mounting challenges for capital markets firms in achieving comprehensive and cost-effectiveawa compliance reporting. Regnology discusses how firms are starting to use a synthesis of emerging…
Future expectations for XVA and counterparty credit risk management
Alberto Micucci, director, financial risk and analytics at S&P Global Market Intelligence, discusses his future expectations for XVA and counterparty credit risk management.
Navigating technology integration in an altered buy-side risk landscape
Luke Armstrong discusses the expanding role of buy-side risk teams, the comprehensive integration of risk factors and how technology can help risk managers navigate a dynamically shifting risk landscape
Charting the course for structured credit markets in 2024
This Risk.net webinar, in collaboration with Numerix, explores the intricate world of structured credit markets in 2024. The discussion reviews the key market dynamics in 2023, and looks ahead to 2024 to observe how practitioners are handling the…
Operational resilience using the cloud
This webinar focuses on the business and operational benefits to firms on the back of their cloud strategies, across an industry that is often unforgiving to those not able to guarantee 100% uptime, operational robustness and competitiveness
Banking ALM outlook 2024
Video Q&A with Andrew Aziz, chief strategy officer and head of product, SS&C Algorithmics
From silos to solutions: ensuring resilient digital banking in a dynamic regulatory environment
The digital banking landscape is undergoing rapid and profound change. As the promise of technological advancement beckons, so too do the challenges of maintaining resilience, security and regulatory compliance. This webinar explores the multifaceted…
Early warning signals of credit deterioration to save on potential losses
With financial institutions facing market volatility and high interest risks in 2023, the warning signals cannot be overlooked. It is crucial to have access to reliable and timely indicators of credit deterioration to prevent significant losses. This…
Risk optimisation and hedge accounting to stabilise regulatory capital
Continual interest rate increases have been reshaping banks’ balance sheets worldwide. With these historic interest rate hikes, regulatory capital has been exposed to volatility driven by flawed hedge accounting programmes or hedges failing effectiveness…
S&P Global Market Intelligence RatingsDirect® leverages AI for more precise insights in volatile markets
Zoi Fletcher speaks to Clemens Thym, S&P Global Market Intelligence, about how his team is enhancing RatingsDirect® with AI and adding value with ratings research
A renewed focus on operational risk: mitigating new risks while deriving a competitive advantage
Regulators are preparing to introduce sweeping capital rule alterations with relatively short implementation periods. Firms that address operational risks in a holistic and integrated manner will realise risk and compliance benefits, and boost strategic…