Articles & Video
Panel discussion: Market volatility and forecasting credit risk 2021
CRO panel from RiskMinds Europe 2021
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.
ESG: The growing challenge and opportunity
How can organisations implement ESG with purpose and strategy while maximising the benefits it could provide?
Where do you see the greatest need for innovation?
From region to region, we asked risk managers in Asia, Europe, and Americas – and more!
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?
3 challenges you’ll face when managing climate change risk
Forecast. Operationalise. Implement.
The dissonance of the short and the long term
We look back on what we’ve learnt from Jon Danielsson, Director, Systemic Risk Centre, London School of Economics, at RiskMinds International 2019 during his keynote presentation.
Diversity & inclusion: The importance of staying the course
With emerging social issues in the spotlight, will businesses build new bridges in diversity and inclusion?
Transition risk: How are risk managers adapting to change?
Uncertainty | Climate change | Artificial intelligence | Diversity & inclusion
Four principles that can assist risk managers to prepare for future risks
There is a great risk that disproportionate focus on Covid-19 may blind risk managers to the significant build-up of risk in other areas, none of which can be resolved with a vaccine.
How the E in ESG creates business value
For executives and investors alike, understanding the links between ESG and business value is essential to making sound decisions about how to allocate capital and other resources.
Fairness in AI and machine learning
How can financial institutions mitigate issues in AI & ML bias and maintain public trust?
Forced labour risk and banking CRO exposure: misconceptions and areas for action
Banks need to wake up to the risk of exposure to forced labour in their client base and actively assess and manage it. A failure to do so potentially leads to exposure to money laundering and criminal proceedings.
The future of risk management in 2021 and beyond
Key insights from RiskMinds International 2020
The emerging resilients: Achieving ‘escape velocity’
The experience of the fast movers out of the last recession teaches leaders emerging from this one to take thoughtful actions to balance growth, margins, and optionality.
Operational resilience for a new era in risk management
How did financial institutions strengthen their operational resilience in 2020?
Fraud risk in focus: What can financial institutions do?
An interview with Peter Deans, Former CRO and Director, The Regtech Association in Australia
Optimising variable annuity reserves through deep hedging
In this white paper we look at an application of the deep hedging approach to a new business problem: optimising reserves that life insurers are required to hold against variable annuity liabilities.
Lessons learned from Covid-19
We asked the experts: what’s the biggest thing you’ve learnt this year?
Recession readiness: how can the CRO take a leading role in preparing for tough times ahead?
A CRO panel discussion from RiskMinds Americas 2020