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Asset Management Risk Insights

11th December 2018

Center for Financial Professionals announces new FinTech Research and Advisory Board

Senior practitioners across the financial services industry join FinTech Advisory Board for the Global FinTech 250 Report set to be released at the X-Tech 2019 Convention […]
3rd May 2017

Investment analytics

20th February 2017

To clear or not to clear – the challenges of funding and financing for the buy-side

By Richard Glen, SVP, Global Funding & Financing (GFF) Sales and Frank Odendall, SVP, Global Funding & Financing (GFF) Sales, Deutsche Borse Group.
24th January 2017

Reaction to Commission’s 12-month delay to PRIIPs

12th January 2017

Return-seeking strategies in fixed income: adopting the right approach for your portfolio?

9th January 2017

Shining a spotlight on independent research under MiFID II

16th December 2016

Systemic risk and asset management industry: current and forthcoming regulatory developments

13th December 2016

Eurizon capital’s principled approach guarantees cutting-edge innovation

23rd November 2016

The fund management industry: Reviewing the regulatory landscape and scope of regulatory change

15th November 2016

Brexit: What does it mean for asset managers?

10th November 2016

Incorporating a level of liquidity in stress testing for a broader overview of cash flow beyond P&L

By Antonello Russo, Director, Risk and Quantitative Analysis, Blackrock.
9th November 2016

The importance of liquid alternatives in a portfolio context

By Chris Dawe, Product Manager, Schroders GAIA.