Risk Insights Resource Center
Displaying 80 results
Future Events
Johannesburg Virtual Chapter: Geopolitical Risk Management: Navigating Global Uncertainty
May 13, 2025
Navigating the complexities of today’s geopolitical landscape presents significant risks for businesses, ranging from escalating tensions to economic ...
Past Events and Content
Cyber Risks: Challenges and Opportunities for Risk Managers
March 26, 2025
São Paulo, Brazil: Join the GARP Latin America Chapter for our inaugural in-person meeting in Brazil. Our subject matter experts will examine the ...
Anti-Money Laundering Rules Go in ‘Risk-Based’ Direction
March 21, 2025
The U.S. Financial Crimes Enforcement Network calls for effective, “reasonably designed” compliance programs. They may not allay concerns about costs.
What’s Your Risk Tolerance? Why Companies Fail to Build Resilience.
March 14, 2025
There is a tendency to overestimate organizational preparedness. Be realistic, flexible, and “tackle the right things first,” a third-party risk ...
Wildfire Risk Implications for Property and Insurance Markets
March 7, 2025
Calls for changes in risk-based insurance pricing, regulation and risk modeling have grown louder in the aftermath of California’s devastating ...
Currencies, Trade and Other Tensions: India’s Balancing Act
February 28, 2025
A growth driver within the BRICS bloc “will pursue whatever benefits its national interest.”
A Risk Outlook for 2025: The Places to Pay Attention
February 14, 2025
Break down silos to get a holistic perspective on interconnected and emerging risks, an integrated-risk-solutions executive advises. AI, geopolitics ...
Augmenting Third-Party Risk Management with Enhanced Due Diligence for AI
January 17, 2025
With reference to processes outlined in regulatory guidance, key considerations for effectively addressing emerging due-diligence challenges.
Operational Resilience: Current Challenges and the Road Ahead
December 13, 2024
Hear from Pedro Morales, the Director and Global Head of AML/Sanctions Compliance at Google, about AI, cyber threats, fraud, third-party risk, ...
TD Bank’s $3 Billion Hit: Have We Reached Peak AML?
December 13, 2024
Does the Canadian-owned bank’s severe punishment signify that anti-money laundering enforcement is working well and fit for purpose? Or is the system ...
Mossad-Hezbollah Aftermath: A New Perspective on Third-Party Risks
November 22, 2024
Although the war in the Middle East seems distant, recent attacks involving electronic devices have reminded us about the need for effective ...
How to Fix Climate Change & Biodiversity Loss at the Same Time
November 7, 2024
Hear from Prof. Pete Smith of the University of Aberdeen, as we explore the overlap in the challenges from, and solutions to, climate change and ...
Revolutionizing Risk Decisioning with AI and Gen AI
October 22, 2024
Sponsored by SAS The transformation of Risk Decisioning is driven by the evolution across People, Process, and Technology, impacting Operational ...
The Art of Buying and Selling Risk Analytics
October 11, 2024
How can consultants or third-party vendors of analytics and models separate themselves fromthe pack? And what are banks looking from these external ...
A Closer Look at CrowdStrike and the Enterprise Security Wake-Up Call
October 11, 2024
The global tech breakdown underscores the importance not only of incident-response planning, third-party risk management and due diligence, but also ...
Mitigating Risks to the Supply Chain: A Risk Manager's Guide
October 4, 2024
Volatility in the global supply chain has been ramped up by geopolitical threats, laborstrikes, trade tensions between countries, natural disasters, ...
Supply-Chain Risk Is Global. A Risk Management Strategy Should Be, Too.
October 4, 2024
Understanding not only the nature and causes of disruptions, but also the complexities of third-party interrelationships, in the interest of ...
DORA’s Next Round: What Financial Institutions Need to Know
September 20, 2024
A new set of guidelines fills some gaps as the January deadline for EU operational-resilience compliance approaches. Data transparency and ...
Building Resilience and Bridges to Weather Risks
September 6, 2024
Interpersonal connections are core to organizational alignment and a resilient culture. Risk managers are “uniquely empowered” to streamline ...
Preparing for Disruptions: Lessons Learned from the CrowdStrike Outage
August 23, 2024
An IT failure of global proportions exposed shortcomings in resilience planning. More extensive, automation-aided scenario simulations will be needed ...
How to Better Manage Operational Risk in Uncertain, Volatile Times
August 9, 2024
Banks must now contend with complex cyber hazards, growing AI and a variety of other threats, but there are specific steps they can take to improve ...
Peer-to-Peer Fraud: Scammers Adapt as Payments Go Digital
August 9, 2024
Lawmakers cite existing regulations – and propose a newly tailored rule – in pressuring Zelle and its owner-banks to strengthen consumer protections.
A New Generation of Fake Documents Is Outrunning Conventional Anti-Fraud Capabilities
August 2, 2024
Look to artificial intelligence to detect and manage risks emerging from the technology’s dark side.
Risk-Management Considerations Amid Continuing Supply-Chain Pressures
June 21, 2024
The causes and effects – and ultimate business impacts – are macroeconomic and geopolitical.
An International Push for Anti-Money Laundering Reform
June 21, 2024
Authorities’ call for “urgent action” follows European Union legislation that could reshape the fight against financial crime.
The Limitations of Models and the Need for Simpler Scenarios
June 14, 2024
Risk models today are asked to perform statistical miracles, covering a multitude of far-flung scenarios that cannot be validated. This approach ...
Reflections on the Value of Models
May 31, 2024
Right or wrong, models “are essential to making sense of the world.” It’s a problem “when people become servants to their particular models.”
Geopolitical Risk: Trends, Challenges and Prognostications
April 14, 2024
Hear from Daniel Wagner, CEO of Country Risk Solutions, about the complexities of the global geopolitical risk landscape. In these volatile and ...
Anti-Fraud Strategies Take Center Stage Amid Consumers’ Shifting Expectations
April 12, 2024
Financial firms can strengthen relationships and loyalty by protecting consumers from, and educating them about, the threats.
The Intersection of Compliance and Resilience
April 9, 2024
Sponsored by Fusion Risk Management Operational resilience is top of mind at both global regulators and financial services firms. Whether you are a ...
COVID-19: A Catalyst for Evolving MRM
March 28, 2024
The COVID-19 pandemic reshaped the landscape of the financial services industry, prompting a reevaluation of traditional model risk management ...
Risk Resilience: 2024 Trends and Perspectives
February 16, 2024
In this podcast, Julie Muckleroy, Global Banking Strategist from SAS, and Abraham Izquierdo, Managing Director of Trading and Treasury Risks at Grupo ...
Continuity and Resilience: Lessons from 2023 into 2024
February 2, 2024
Geopolitical and other uncertainties are escalating third-party risks for all sectors. More robust and integrated stress and scenario testing become ...
Make Your Move with the FRM
December 12, 2023
The ability to make timely, informed, risk-based decisions is fundamental to the success of companies in every industry. Are you curious about how ...
Operational Risk Capital Proposal: Time to Hit the Pause Button
November 17, 2023
The so-called Basel III Endgame could lead to significant amendments in operational loss estimation at big banks.
5 Ways to Improve Model Risk Management
November 17, 2023
How risk assessment, data management, governance and AI can contribute to continuous improvement.
The Road to Better Model Risk Management
October 27, 2023
Firms new to the discipline have their work cut out as regulators bring attention and clarity to model risk. The experience of forward-thinking early ...
Management Liability: Four Ways to Reduce the Risk
September 15, 2023
The right preparatory steps can effectively insure against losses and benefit risk management overall
Risk-Based Decisioning in an Age of Uncertainty Part 2
September 6, 2023
In this podcast Zeynep Salman, Senior Business Solutions Manager at SAS, will explore the top trends and market practices for financial institutions ...
Risk-Based Decisioning in an Age of Uncertainty Part 1
August 23, 2023
Is it possible for financial institutions to offer on-demand, superior customer experiences while making risk decisions in near real-time in an ...
A Guide to PRA’s Model Risk Management Principles
August 1, 2023
UK-incorporated banks, building societies and investment firms that use internal models for capital calculations now face pressure to adhere to model ...
What to Know About U.S. Regulators’ Third-Party Risk Management Guidance
July 28, 2023
Defining expectations for risk-based approaches and governance, the agencies are “more prescriptive and clarifying” than in their 2021 proposal
Integrated Third-Party Risk Management: Collaborative, Coordinated and Continuous
July 14, 2023
Recent disruptive events underscore the importance of holistic, proactive approaches; vendor assessments and due diligence; and “every employee’s ...
The Suitability of Models in Today's Environment of Emerging Risks
July 13, 2023
Model failures in recent times have called into question the effectiveness of the methodologies currently used by many banks, particularly for credit ...
How to Better Manage Fraud in a Post-Pandemic World
July 7, 2023
In the wake of the COVID-19 crisis, internal fraud is on the rise at banks – but there are strategies they can employ to minimize this risk.
Crisis Risk and Risk Management
May 17, 2023
Firms that use data to account for interactions between risks can more accurately forecast crises – but some types remain unpredictable. René M. ...
Risk Management’s Latest Trial by Crisis
May 12, 2023
Hear veteran risk manager, advisor and professor Clifford Rossi’s perspective on recent turmoil in the banking system, on where risk management fell ...
Lying with Statistics: How Risk Model Selection Contributed to SVB’s Downfall
April 21, 2023
Just how easy is it to manipulate data in a model to suit the preferences of an individual or of bank management? Flaws in the current model ...
Stress-Testing the Supply Chain for Risk Resiliency
March 31, 2023
An investment-like portfolio management approach, enhanced by real-time ecosystem data sharing
A Defense of Empirical Risk Management
February 24, 2023
Traditional credit risk models have recently come under heavy fire. But there is still value in learning from history, even while modifications are ...
Continuing Complications in Supply-Chain and Third-Party Risks
February 24, 2023
Rapid responses and resilience are essential amid economic and geopolitical disruptions and regulatory challenges
Model Risk Management Challenges and Opportunities in a Volatile World: A Q&A with Evan Sekeris
January 20, 2023
In uncertain times marked by rare and extreme events, the obstacles facing risk modelers are steep. But aspiring and early-career FRMs with an ...
Reducing Operational Risk with Systems Engineering
January 13, 2023
What are the underlying problems behind the operational failures that have plagued large banks? Should they consider a systems engineering approach ...
The Stagnation of Stress Testing: Causes … and Potential Solutions
November 18, 2022
An overreliance on scenarios can limit the effectiveness of stress tests. Why is excessive dependence on scenarios problematic, and, with a recession ...
Operational Resilience Through Supply Chain and Business Process Mapping
November 11, 2022
A discipline for navigating the complexities of concurrent and cascading crises
Financial Infrastructure at a Systemic Crossroads
August 19, 2022
Disruption is the enemy, business continuity is the mission, and operational resilience and uptime are strategic imperatives for risk professionals ...
Scenario Analysis: Assessing the Quality of the Journey
July 29, 2022
Model Risk Management Lessons Learned: Tracing Issues from the Pandemic to the Great Recession
July 8, 2022
Robust Estimation of Loss Models in the Insurance Industry
May 5, 2022
Comprehensive loss models are important for all financial services firms, but particularly for insurers. Chudamani Poudyal and Vytaras Brazauskas ...
Rethinking Business Models from the Perspective of ESG
March 17, 2022
Forward-looking financial institutions are adapting their methodologies to account for environmental, social and governance issues. Enrico Guarnerio ...
The Art of Running Model Validation in a Bank
March 10, 2022
Financial institutions are under increasing regulatory pressure to implement robust model validation. Subrahmanyam Oruganti and Surabhi Kashyap ...
Political Risk Management
February 17, 2022
The COVID-19 pandemic and social unrest have shined a corporate spotlight on political risk. Omari Scott Simmons explains how businesses can use ...
Assessing ESG Risks for Businesses in the COVID-19 Era
February 3, 2022
Business operations, supply chains and economies around the globe have been disrupted by the pandemic. Paul Hirose and T. Markus Funk discuss the ...
Modeling and Forecasting the CBOE Volatility Index
August 19, 2021
Predictions of future price variability are needed to measure the risk of a portfolio and to value financial instruments. Giuseppe Corvasce examines ...
The Potential Impact of ESG on Tail Risk
June 10, 2021
Environmental, social and governance (ESG) trading activity has become a staple of financial markets, but whether ESG scores convey information ...
Modeling Extreme Events
March 25, 2021
What factors should financial institutions consider when forecasting and analyzing rare tail-risk incidents? Bernd Schwaab, Andre Lucas and Xin Zhang ...
From Respond to Re-imagine - PART 2
December 10, 2020
From Respond to Re-imagine – PART 2: Charting the journey forward for banking and risk management In this episode, we continue our circle back with ...
From Respond to Re-imagine - PART 1:
December 1, 2020
In this episode, we circle back with Naeem Siddiqi, Senior Advisor, Risk and Quantitative Solutions, SAS, to explore the effects of COVID-19 on banks ...
COVID-19 and Disruption in Electricity Markets
November 10, 2020
COVID-19 has resulted in significant decreases in demand for electricity, primarily due social distancing and quarantine policies. Glen Swindle, ...
How COVID-19 Has Changed the Audit Landscape
October 5, 2020
The pandemic has certainly had a significant impact on the third line of defense in risk management, presenting audit with significant challenges in ...
COVID-19: Implications for Banks
August 10, 2020
Clearly, the impacts of COVID-19 on banks globally are unprecedented and requiring huge pivots in a short time. Join us on this podcast where our ...
ESG in a COVID-19 World: The Risks You Can't Ignore
June 22, 2020
Elena Philipova discusses how incorporating ESG factors can mitigate risk in a post-COVID-19 world. The COVID-19 pandemic underscores the importance ...
The Risks of Reopening
June 15, 2020
Shutting down the global economy in the age of Covid-19 was tough. Reopening is proving even harder. How should organizations continue operating in ...
How Hong Kong is Fighting the Pandemic
June 1, 2020
The effects of COVID-19 spread to virtually every aspect of Hong Kong’s economy, impacting operational, credit and market risks at all types of ...
COVID-19’s Impact on the Leveraged Loan Markets
May 18, 2020
The current pandemic is having an enormous impact on the leveraged loan markets which until recently were priced to perfection. Bid-Ask spreads have ...
What is a Model? And other thoughts with Sonia Sodhi
June 18, 2019
We spoke with Model Risk Management expert Sonia Sodhi at the SAS Global Forum on What is a Model? and more. To view Sonia's slides and audio and all ...
The Crisis and Its Lessons, Relearned
December 19, 2018
Risk managers’ role “involves two related but fundamentally different tasks,” David M. Rowe writes in An Insider’s Guide to Risk Management. Rowe ...
The State of Financial Crime
January 19, 2018
In this episode, Steve Beattie, Principal and Global Financial Crime Operations and Advisory Leader at EY, joins GARP Editor in Chief Jeff Kutler for ...
Russia’s Involvement in U.S. Political Hacks
October 13, 2017
Jack Tomarchio (former Principal Deputy Under Secretary for Intelligence and Analysis, Department of Homeland Security) shares his invaluable ...