Credit risk management remains a critical area of financial research and practice, particularly in the wake of increasingly volatile economic environments. This field focuses on identifying, assessing ...
Over the past several years, there has been a steady march toward financial integration across product lines among larger financial firms. The trend is in part due to the increasing globalization of ...
AI, data leadership, ESG and automation to set the agenda as regional banks pursue resilience, efficiency and sustainable ...
Rocky Gor is the founder and CEO of CAPX, a digital platform that instantly connects middle-market borrowers with bank and non-bank lenders. As a young credit associate, I attended a risk management ...
This article was written by Hugo Rodriguez Bautista, Global Product Manager, Risk and Investment Analytics and Bradley Foster, Global Head of Content (Enterprise) at Bloomberg. COVID-19 has introduced ...
PARSIPPANY, N.J.--(BUSINESS WIRE)--A new survey shows nearly half of all financial services executives are struggling with managing credit risk and detecting and preventing fraud. The survey also ...
The Managing Director of Zedvance Finance Limited, Ever Obi, is a risk management and business leader, with over 12 years of experience with leading financial institutions, and proven expertise in ...
This paper analyzes the rapid growth and evolving landscape of synthetic risk transfers (SRTs), a securitization tool increasingly used by banks to manage credit risk and optimize capital. Since 2016, ...
Counterparty risk is the chance that the other party in a financial transaction may not meet their obligations. It can occur in loans, derivatives and trading contracts with banks, insurers, or other ...
Consolidate your data management and multi-jurisdictional reporting through our automated end-to-end solution to strengthen regulatory global capital risk management. The global financial market moves ...