Article ID: e2ea3869382992f770e6b290146f5df598a0493f8266a3bc220e5f53b8fb42bf
Source ID: regulatory:risk.net
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Extraction Method: trafilatura
URL: https://www.risk.net/webinars
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Webinars About our webinars Our webinars are built around expert journalism and provide news, opinion and insight on the latest industry developments. Previous Webinars Streamlining trade execution and operations through interoperability How financial institutions can benefit from State Street’s suite of trading platforms, GlobalLINK Predictive risk for resilient portfolios: climate adaptation, valuation and strategy Redefined responsibilities for financial advisers, building portfolios that can withstand change and ways to invest amid climate-related risks ICE’s approach to pricing global fixed income assets Accurate and transparent bond pricing is critical for managing risk, meeting regulatory requirements and making informed investment decisions Enhancing operational resilience during geopolitical uncertainty How financial institutions can strengthen operational resilience and navigate disruptions Digital asset derivatives: unlocking growth through regulated trading and clearing The broader market trends driving institutional adoption before examining regulatory developments, risk management and the role of central clearing The future of quantitative investment Discussion on the increasing appeal of QIS, latest trends and use cases in the Apac region Break down the silos: the unifying power of total portfolio management Best practices for investment operations and execution in today’s complex market landscape Optimising AI and cloud transformation to modernise financial services in a dynamic regulatory landscape Financial institutions are leveraging AI to modernise their infrastructures while navigating regulatory priorities and challenges Unlocking opportunities in the SRT boom Exploring the opportunities emerging in SRTs, also considering broader SRT developments and structural innovations Addressing risks and leveraging compliance opportunities amid banking regulation uncertainty How financial institutions can stay compliant, adapt to shifting policies and seize strategic advantages amid regulatory change Dora and cyber resilience: risk migration strategy and regulatory compliance How Dora’s requirements influence organisations, the implications for cross-border compliance and best practices for strengthening cyber resilience Charting volatility: strategic insights on Apac monetary policy divergence and market dynamics Key drivers of market fluctuations, the impact of currency and interest rate differentials, and technology-driven strategies for risk mitigation in portfolio management The countdown begins: navigating the new corporate governance landscape The updated UK Corporate Governance Code 2024 introduces crucial changes in control reporting for companies. Exploring the regulatory enhancements and outlining the steps to compliance by the 2026 deadline Achieving a holistic view of credit risk and XVA: aligning strategy, regulation and technology As financial landscapes grow more complex, managing credit risk and XVA requires strategies that incorporate compliance and innovation. Risk and return: volatility strategies for uncertain times As the pace of change accelerates, financial firms must consider how to adapt their volatility strategies to maximise opportunities and manage risk Adapting to ever-evolving technology for trading and risk management The challenges faced by financial institutions, and the innovative technologies and tools that are helping organisations stay ahead in the Apac financial market Integrating climate into market and credit risk frameworks: what’s next? A webinar on climate risk, discussing how and why it needs to be integrated into short-term risk assessments AI and automation in financial crime: elevating compliance and data management This webinar explores how AI, process automation and strategic data management can transform your data and compliance landscape in the fight against financial crime Enhancing counterparty credit risk management in modern banking A webinar addressing banks' strategies for optimising credit risk mitigation strategies and utilising risk-sensitive margining to manage counterparty exposures effectively Real-time risk management in the age of dynamic markets and data This webinar delves into how recent operational overhauls are influencing numerical considerations and strategies for real-time risk management in dynamic markets Advancing risk management using new data techniques This webinar shares best practices on how risk management can be improved and insights on how risk managers can use big data to improve risk modelling Price sensitive: maximising value from IPV data and valuation control A webinar assessing the changing demands of IPV and valuation control as part of a robust risk management strategy, and how banks can ensure data quality and compliance in the future The future of intelligent automation for next-level risk management A webinar exploring pivotal market factors and trends regarding risk management and automation, providing insights on how to automate tasks safely and effectively, plus an understanding of benchmarks practitioners could use when managing complex risks in… Conquering new heights in regulatory reporting: innovations in regulatory compliance In this dynamic environment, financial institutions that can integrate technology innovations such as artificial intelligence into their strategies are poised to revolutionise compliance processes, streamline operations, and enhance risk management
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