risk-management
Top StoriesGlobal Banking Regulators Target Mismanagement in Handling Risks From Clients
FinanceStrategies for Managing Financial Risks in International Trade
TechnologyYou Will Get Hit by Ransomware. Here’s How to Ensure Business Continuity
InvestingNavigating Market Volatility: Strategies for Retail Investors

An Introduction to Corporate Bonds for Individual Investors: Unveiling Opportunities and Risks
Date: April 24, 2024
An Introduction to Corporate Bonds for Individual Investors: Unveiling Opportunities and Risks Introduction Embarking on the journey of investment, individual investors are continually seeking avenues to diversify their portfolio and enhance their financial security. Among the plethora of options, corporate bonds emerge as a compelling choice, offering a blend of stability and potential for lucrative...

BofE’s Ccp Exam Makes Stress Testing More Than a Tick Box Exercise
Date: April 22, 2024
BofE’s CCP exam makes stress testing more than a tick box exercise By Joseph Cordahi, product strategy director at financial tech firm NeoXam Last week’s move by the Bank of England (BoE) to intensify stress testing for clearing houses marks a pivotal moment in fortifying the resilience of the UK’s financial sector. Until now, stress...

4 Anti-Patterns in Data Governance for Distributed Systems in Finance
Date: April 17, 2024
4 Anti-Patterns in Data Governance for Distributed Systems in Finance By Abhishek Gupta 17 Apr 2024 Introduction to Data Governance in Distributed Systems for Financial Services In the ever-evolving landscape of financial services, data not only drives decisions but also ensures adherence to stringent regulatory standards. As such, the importance of robust data governance cannot be...

Navigating the New Era of Risk Management: Complex Models in Modern Banking
Date: April 11, 2024
Navigating the New Era of Risk Management: Complex Models in Modern Banking Written by Sanjay Moolchandani April 2024 The banking and finance sector is navigating significant change driven by rapid technological advancements, evolving regulations, a changing economic landscape, and the sophisticated nature of today’s financial markets. While risk models’ importance has never been greater, they have grown...

Demonstrating Digital Resilience With Dora Compliance
Date: April 8, 2024
Demonstrating Digital Resilience with DORA Compliance While the European Union’s (EU) Digital Operational Resilience Act (DORA) has been under development since 2020, the 2025 deadline for compliance is timely given the escalating demands for improved digital resilience. Geopolitical unrest and rising cyber threat are adding significant risks for financial institutions, making it vital to strengthen...

Strategic Leadership Results in Better Decision-Making
Date: April 3, 2024
Strategic Leadership Results in Better Decision-Making Written by Robert Boyd, PsyD April 2024 Two distinct leadership personas dictate the direction of the business and financial worlds: strategic leaders and tactical leaders. While each is essential, strategic leaders set the course for a company’s long-term success through their vision, direction, risk management techniques, and a combination...
