Monday - Friday, 08:00 - 11:00 CET | 14:00 - 17:00 HK/SG Erik Nielsen, global chief economist at UniCredit, discusses the "risk normalization" as investors try to find the "normal level of risk again" ...
Too many organizations buy risk management solutions for today, without thinking of their needs for the future. Michael Rasmussen works with a number of companies that sell solutions for risk ...
Avoiding the pain points of pre-trade risk controls may be tough, but it is possible, through the use of API-based systems that normalise information across markets, identify gross exposures and allow ...
The normal distribution is the probability distribution that plots all of its values along a symmetrical bell curve, with the highest probabilities centered around the mean value and tapering out ...
For many financial trading firms, having a robust pre-trade risk system is likely to feel like one of those unpleasant but unavoidable costs of doing business. A fair amount of pain, not very much ...
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