When will we learn continued

by Rick Otero on March 5, 2010

I have been in a deep-dive considering how risk management practices and policies should change in financial services.  Clearly, the old assumptions are no longer valid.  Here are three papers for consideration.

The first are questions board directors should be asking (or any executive managing within financial services). The second places emphasis on insights on credit liquidity and what that might mean going forward.  Last, but not least, is the executive summary from the Counterpolicy Risk Management Group about containing systemic risk.  The full report can be downloaded here.

Happy risk mitigating!

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