International standards and best practice supports the implementation of a risk-based solvency regime in the regulation and supervision of insurers. Several emerging market and developing economies ...
The US government’s debt load is now seen as the biggest risk to financial stability, outweighing persistent inflation in a ...
Technosylva also announced the acquisition of KatRisk, a risk modeling software company used by the Federal Emergency Management Agency, among others.
So here are some more, hopefully semi-coherent, thoughts on the news that State Street Global Advisors is partnering with Bridgewater to launch an ETF powered by the hedge fund group’s “All Weather” ...
While more conservative banks devote resources to “indirectly monetise” their customers’ information by offering them better-suited offers and products, the boldest disrupters — fintechs such as ...
Recognizing the most influential professionals whose decades of sterling service and performance have moulded today’s ...
IMF lauds RBI's stress test models for solvency, liquidity, and systemic risk but suggests enhancements in credit and market ...
As the risk environment for higher education continues to expand, an enterprise-wide approach that links ERM with strategic ...
Financial sector firms are uniquely exposed to cyber risk due to the large amounts of sensitive data and transactions they ...
C3296C STMicroelectronics Outlines 2027-2028 Financial Model and Path Towards 2030 Ambition Setting an intermediate financial model: ~$18B revenues and 22-24% operating margin in 2027-2028 Reiterating ...
The chief risk officer role has gained prominence at banks over the past 15 years, but the extended absence of one at Silicon ...
From the very outset,the American Banking system has displayed its vulnerabilities to the minor setbacks in the financial ...