Analysis
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Analysis
Airmic 2025: US in fiscal cliff danger as global economic risk rises
As Trump doubles down on tariffs and deficit spending, Robert Peston warns the US is heading for fiscal crisis – and Europe must seize the moment.
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Analysis
“This is a warning shot”: what businesses must learn from Tesla’s ESG crisis
Swedish insurance and pension group Folksam’s decision to divest its $160million holdings in Tesla is a warning shot to the wider business community, take ESG seriously, or face the consequences
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Analysis
Scenario analysis: What risk managers need to know about Trump’s tariffs
Trump’s so-called “flexibility” on tariffs — marked by delays and shifting targets — has plunged global trade into uncertainty, forcing risk managers to brace for every scenario.
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Analysis
50 years of risk: Tapio Huovinen, UPM - The Biofore Company and Daniele Zucchi, FERMA board member
As FERMA celebrates its 50th birthday, StrategicRISK Magazine spoke to its board members and risk leaders about how the risk landscape is changing and the priorities for the future. Here Professor Simon Grima, associate professor, head department of insurance, Faculty of Economics, Management and Accountancy, University of Malta shares his ...
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Analysis
50 years of risk: Professor Simon Grima, head of the department of insurance, University of Malta
As FERMA celebrates its 50th birthday, StrategicRISK Magazine spoke to its board members and risk leaders about how the risk landscape is changing and the priorities for the future. Here Professor Simon Grima, associate professor, head department of insurance, Faculty of Economics, Management and Accountancy, University of Malta shares his ...
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Analysis
Regulation watch: the Economic Crime and Corporate Transparency Act
Why this piece of legislation deserves significant focus from risk managers and the boards of directors at the companies they look after.
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Analysis
Regulation watch: dealing with the EU corporate reporting sustainability directive
The EU corporate reporting sustainability directive means organisations must assess and disclose on sustainability, diversity, and corruption factors. The risks of non-compliance are high, and litigation is a significant concern. Here’s what firms need to know
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Analysis
Risk briefing: how risk managers should react to the Microsoft / Crowdstrike outage
As critical infrastructure across the globe grinds to a halt, StrategicRISK speaks to risk, reputation, data and IT experts to learn what happened, what impacted organisations can do, and steps that risk managers should take to avoid similar crises in the future
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Analysis
Risk briefing: managing the legal ramifications of interconnected risks
The interconnectivity of threats is a hot topic in the risk management world, but the legal and insurance implications are easily overlooked. Here’s what risk professionals need to know
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Analysis
Risk briefing: learning lessons from the 2023 banking collapses
Transparecy, risk culture, and accountability are key lessons that risk professionals must learn to stave off operational and reputational risks
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Analysis
Poly-crisis looms so boards and risk managers must act now
New research highlights the top threats facing organisations over the year ahead. Here’s how risk managers can tackle interconnected risks and build resilience
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Analysis
Business risks growing thanks to understaffed tax teams - how to manage the threats
Under-resourced tax departments are causing significant risks for global organisations, however, automation and technology may hold the answers
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Analysis
Economic concerns replace people challenges as the biggest short-term risk for businesses
Risk managers must prepare for the return of historic threats such as inflation, interest rate rises, and currency volatility
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Analysis
Why risk managers should harness intelligence from internal audit as recession fears grow
Despite the many economic resiliency measures internal audit functions are engaged in, they are often an overlooked key asset in supporting organisations to navigate economic uncertainty. Here’s how risk managers can work with audit teams to better plan for financial shocks.
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Analysis
D&O insurance pricing is coming down - what it means for risk managers
A new report from Gallagher finds that D&O insurance conditions remain favourable, here’s what it means for risk managers and their organisations in the UK, Europe, Canada and America
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Analysis
How European risk managers can improve business decisions with resilience
New data from FM Global ranks countries for resilience, here’s how risk managers can use the index to help improve business decision-making
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Analysis
Airmic 2023: De-risking the climate transition
New guide explores how organisations can pre-empt disorderly transition - here are the ten key lessons for risk managers
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Analysis
SR Q2 2023: Protecting your greatest asset
No risk is an island. And in this complex, interconnected risk landscape we are operating in, no risk department should be either. The health of our organisations and our people depends on building risk cultures that break silos and become truly cross-functional
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Analysis
Economic uncertainty fuels financial, liquidity and insolvency fears
How risk managers can tackle risks to businesses driven by ongoing economic uncertainty
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Analysis
Risk of financial crisis looms - what it means for firms
Banking system strains and tightened credit supply now pose the greatest threats to the global economy