risk-management
FinanceBooking System Outage Forces Russian Airlines to Cancel Some Flights, Ministry Says
Former French Senator on Trial for Allegedly Drugging Lawmaker to Assault Her
HeadlinesFire in Greek Biscuit Factory Kills Four, One Missing
HeadlinesDrone Debris Spark Fire at Two Enterprises in Russia's Krasnodar Region, Authorities Say

Power Cut to Russia's Main Naval Base Home Town After Pylons Collapse
Date: January 25, 2026
MOSCOW, Jan 25 - The home town of Russia's main naval base was forced to switch to emergency generators after aging power lines collapsed during bad winter weather, cutting electricity and some...
Airbus CEO Warns of New Risks After 'significant' Trade Damage
Date: January 25, 2026
PARIS, Jan 25 (Reuters) - The head of Airbus has warned staff that the plane maker must be ready to adapt to unsettling new geopolitical risks after facing "significant" logistical and financial...
Italy’s Anger Over Bar Manager Release Understandable, Swiss President Says
Date: January 25, 2026
MILAN, Jan 25 (Reuters) - Rome's outrage was understandable over the release on bail of the owner of the bar where a deadly fire broke out on New Year's Day, Swiss President Guy Parmelin told an...

Italy Protests, Recalls Ambassador to Switzerland After New Year's Bar Fire Suspect Released
Date: January 24, 2026
ROME, Jan 24 (Reuters) - Italy formally protested on Saturday the release on bail of the owner of a Swiss bar engulfed in a deadly New Year's Day fire and recalled its ambassador to Switzerland, as...

Swiss Bar Owner Released on Bail After Deadly New Year's Fire, Prompting Outcry
Date: January 23, 2026
GENEVA, Jan 23 (Reuters) - A Swiss court said on Friday that the owner of a bar that caught fire on New Year's Day could go free after authorities received funds to bail him. Jacques Moretti and his...

Risk, Time Horizon, and Asset Classification in Financial Theory
Date: January 23, 2026
In financial theory, risk is treated as a fundamental structural characteristic of all asset exposure rather than as a secondary concern relative to returns. Institutional finance emphasizes that market participation is viable only when risk characteristics are compatible with the system’s capacity to absorb uncertainty over time....
