FinanceAsia hears from the experts at ASIFMA's Compliance Week on how financial institutions should deal with the threat of online misinformation dissemination.
With CFOs and corporate treasurers focusing on risk, companies are now better prepared for the unexpected than ever before. But are new banking regulations actually increasing the risk of companies not getting paid and reducing their ability to finance their businesses?
A return to risk mitigation and the emergence of distributor finance are leading to a renewed focus on the financial supply chain in Asia-Pacific trade.
An integrated approach to risk management is crucial for enabling organisations to consolidate exposures, measure risk and perform stress tests across all lines of business.
Liquidity management is not a static discipline; internal and external factors dictate that today's optimum liquidity management solutions and strategies will in the future require adjustment, upgrade or perhaps even complete replacement.
Bank of America Merrill Lynch has appointed Sanjiv Malhotra, who was last at the Danamon group and has also spent many years at Citi, as country risk manager for India.
This white paper by SAS outlines an approach for creating a common risk management and pricing platform for modelling structured fixed-income securities and equities that can be used by the front and middle offices as well as risk management teams.