Articles & Video
Financing the net-zero transition: A key challenge for the financial community
Achieving net-zero greenhouse gas emissions by 2050 has become the stated goal of numerous governments and companies worldwide, but how might bankers, investors, and others in the financial community respond to the challenge?
AI risk governance: How can you inspire trust?
The opportunities for social and economic advancement through artificial intelligence (AI) seem endless. From the evolving regulatory landscape to risk mitigation challenges: Lisa Bechtold, Zurich Insurance company Ltd, shares her insights on AI governance.
The climate transition risks for the banking sector
How can we measure transition risk from climate change risk for the banking sector? Giulia Bassani, Alessandra Bettocchi, Eliana Canavesio, Sofia Maria Lauriola from Prometeia share their approach.
5 core elements of the risk management agenda for 2021 and beyond
Covid-19’s impact on risk management and the subsequent lessons in strengthening resilience, managing uncertainty, improving leadership, and adapting to evolving regulatory challenges have sparked an acceleration of transformation-led projects within risk teams. But what are the five core areas of discussion that dominate the risk management agenda in 2021 and beyond? Eleanor Halsey, RiskMinds Editor-in-Chief, explores.
How is Brexit impacting regulatory development and change?
Katherine Wolicki, Global Head Financial and Model Risk Regulatory Policy and Engagement, HSBC, joins us to talk about the changes and challenges Brexit brought on, especially in the field of regulatory development and compliance.
Diversity & inclusion in action: what are the current challenges?
Katja Pluto, Chief Risk Officer EMEA, Zurich Insurance Company, joins us to answer crucial questions around diversity and inclusion, and shares how D&I impacted customers & employees alike!
6 ways to manage risk and uncertainty in insurance
Uncertainty should not be an excuse for inaction because we never truly “know”, but how do we manage it?
Collaboration across borders, industries, and risk functions
Risk managers should be a voice of reason in the global risk debate, Marcus Chromik, CRO & Board Member, Commerzbank, argues.
Climate risk management and analytics: How can we plan ahead and create resilient infrastructure for the future?
Webinars on demand
Re-thinking model risk management in a new era of risk
Practitioner panel from RiskMinds Americas 2021
Panel discussion: Market volatility and forecasting credit risk 2021
CRO panel from RiskMinds Europe 2021
Leadership and regulation: What does the future hold for risk managers?
We speak to risk leaders and CROs to find out more about leadership qualities of the future, the LIBOR transition, and the dangers of over-regulation.
ESG: The growing challenge and opportunity
How can organisations implement ESG with purpose and strategy while maximising the benefits it could provide?
What challenges are risk managers facing in Asia, Europe, and America?
RiskMinds around the world review their greatest challenges and share their vision for the future.
Where do you see the greatest need for innovation?
From region to region, we asked risk managers in Asia, Europe, and Americas – and more!
Climate risk management: What will regulatory developments mean for risk managers?
Webinar on demand
Sustainability risks can bring sustainable growth
Beyond compliance, how can sustainability be a growth opportunity?
The biggest challenge of our time: Climate change
From Mark Carney’s speech to our present and future climate risk management trends in the banking sector.
Market volatility and forecasting credit risk in 2021
Long before the start of the Covid crisis, credit risk has been in Knab’s top three risks.
Risk management challenges and opportunities around the world in 2021: Regional perspectives
With 2020 and the start of 2021 being such a turbulent time for risk managers across the globe, what’s next?