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إستراتيجيات الإستمرارية في ظل الازمات

ياسين جغبير CFA, FRM, M.Phil المؤسسة الناجحة هي تلك التي تبقى قادرة على ليس فقط على الاستمرار في السوق, بل تلك التي تستطيع التميز رغم الاحداث والظروف التي تمر بها الاسواق و/أو البيئة

How to Select, Monitor and Manage Useful KRIs

By Brenda Boultwood The effectiveness of a financial institution’s risk management program depends, in no small part, on the key risk indicators it uses to track its risks. Choosing and leveraging the right

Post-LIBOR

Financial Services in a Post-LIBOR World: Outcomes From GARP Recent Survey Source: all the below material was taken from GARP website, visited on Dec 13, 2021. With the London Interbank Offered Rate (LIBOR)

Tail-Risk Reduction

Tail-Risk Reduction Through Resilience By Cristian deRitis While the risks of extreme events can never be completely eliminated, they can be ameliorated with the help of ESG-focused models that are flexible and robust.

The Building Blocks of Risk Strategy

By Brenda Boultwood Crises always reveal the true value of an adaptable, integrated approach to risk management. COVID-19 is no exception. Indeed, throughout the current pandemic, financial services firms have realized the benefits

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