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Bloomberg’s recent admissions that it overstepped a boundary or two when it allowed reporters to regularly access clients’ customer relationship management data is more than just a tempest in a terminal. Major Wall Street firms are demanding to know more because of the potential confidentiality, compliance and security breaches that may have resulted from this high-tech snooping...Read More

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Financial Risk Analysis
Nov. 14, 2011 | Comments | Print

The increased volatility of capital markets, the significant growth of derivatives and the occurrence of several incidents (subprime crisis, Madoff and Kerviel affairs) motivated professionals in asset management to focus on risk measurement, in order to meet the seminal challenge of the asset manager - investor relationship.

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