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GARP Resources Archive

Displaying 22 results

Event

GARP 2025 Financial Risk Symposium

March 6, 2025

With today’s ongoing geopolitical tensions, macroeconomic uncertainty, and rapid advancements in technology, it’s clear the role of the risk ...

Regulation & Compliance | Financial Markets | Risks & Risk Factors | Innovation | Model Risk | Geopolitical
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Event

The FRM Can Be Your Bridge

January 15, 2025

The ability to analyze and manage risk is important and more valuable than ever. Learn how the FRM gives you the knowledge and skills demanded by ...

Career Development | Financial Markets | Investment Management | Model Risk | Geopolitical | Career Trends
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Article

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 ...

Model Risk
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Article

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 ...

Model Risk
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Article

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.”

Model Risk
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Webcast

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 ...

Career Trends | Financial Markets | Model Risk
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Article

5 Ways to Improve Model Risk Management

November 17, 2023

How risk assessment, data management, governance and AI can contribute to continuous improvement.

Model Risk
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Article

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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Article

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 ...

Model Risk
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Article

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 ...

Model Risk
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Article

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 ...

Model Risk
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Article

Scenario Analysis: Assessing the Quality of the Journey

July 29, 2022

Model Risk
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Article

Model Risk Management Lessons Learned: Tracing Issues from the Pandemic to the Great Recession

July 8, 2022

Model Risk
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White Paper

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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White Paper

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 ...

Model Risk
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Podcast

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 ...

Model Risk
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