Feature/Risk management
CCAR leaves modelling teams short of time and staff
Fed stress tests are a "perfect storm of pressure"
Adios AMA: Basel proposal to bin op risk models worries banks
Firms doubtful about risk sensitivity of standardised replacement charge
Banks forlorn over new Basel counterparty risk charge
Standardised risk charge delivers few benefits, and plenty of trouble
Op risk experts question banks' cyber strategy
"Stupid hurts just as much as malicious," says Mark Clancy at DTCC
Dealers fret over Basel CVA revisions
Punitive standardised approach may replace modelling
Q&A: Op risk veterans list lessons of the crisis
Accountability and learning from past failures key to sound risk culture
Custodial sentence: G-Sib charge hits 'riskless' business
Treating custody deposits as wholesale funding increases risk, critics say
Regional swaps booking replacing global hubs
Banks complain of mixed supervisory messages, but regionalisation trend is clear
Options Clearing Corp faces pressures of systemic status
Disaster recovery and oversight key for utility's CRO
Wages of sin: Hayes trial highlights abuse of Libor weaknesses
Interest rate's governance and wider industry culture also in the dock
Iran deal takes sanctions compliance into unfamiliar territory
Banks likely to be cautious even after trade restarts
CCPs need thicker skins - Citi analysis
Analytical approach suggests CCPs should be putting more of their own capital at risk
Op risk recruiters spread the net wider
Boom in op risk means more places in front line
Video: Highlights from OpRisk Europe 2015
Catch up with the debate at OpRisk's flagship London conference
Video: Uwe Schulz, CRO of RWE Supply & Trading
Schulz speaks about threats and opportunities facing European utilities
Shadow banks eye accounts receivable as lenders retreat
Hedge funds target 10–12% returns on credit risk from unpaid invoices
Video: Centrica chief risk officer Olivier Herbelot
Herbelot discusses how the UK power and gas giant manages its risk
Italian refiner seeks boost from supply and trading unit
Saras gains from rebound in refining margins and flexible Sardinia refinery
Fighting the cognitive biases that undermine scenario analysis
Risk managers should be aware of unconscious flaws in estimation
Standardised approaches pile up capital and data woes
Banks round on one-size-fits-all rules for market, credit and op risk
Cash is not king: unwelcome depositors seek new homes
Companies face more liquidity risk as Basel III prompts banks to reject excess cash
Managing data still biggest technology challenge for Asia banks
Data has been a problem for the past two decades for firms in the region
CCP stress-test rifts emerge as review gets underway
Banks, clearing houses and regulators all divided on question of standardised tests
Bank reforms starting to reduce risk of reputational damage
Losses illustrate scale of reputational exposure