Analysis – Page 30
-
AnalysisRisk managers reveal top emerging world concerns
Local insurance market rules and risk management culture are major worries for risk managers with operations in BRIC countries
-
AnalysisExtractive industries face “extreme” asset risks
Myanmar, North Korea and Somalia top ranking of legal and regulatory risk hotspots
-
AnalysisGuernsey won't seek Solvency II equivalence
Captive association believes this will enhance Guernsey’s attractiveness as a domicile
-
AnalysisAvatar economy
The lack of formal regulation of financial transactions between players in virtual worlds such as Second Life leaves the gaming system open to abuse, reports Nathan Skinner
-
AnalysisFT report backs Guernsey
Changes to the Channel Islands’ tax regime won’t hit their popularity
-
AnalysisAccenture bullying claim fails
A computer analyst was wrong to say his employer breached health and safety law, ruled a court
-
AnalysisNew health and safety proposals
Lord Young’s report calls for restrictions on “no win no fee” advertising
-
AnalysisDodd-Frank good for ratings, says AM Best
Law introduces new requirements for rating agencies
-
AnalysisA new approach to regulation
A summary of the UK government’s recommendations for regulatory change
-
AnalysisCan Dodd-Frank stop another crisis?
The sweeping overhaul of US financial regulation fails to address the main causes of the financial crisis, says Matthew Kerfoot
-
AnalysisWilling to listen
The European Commission is happy to hear the concerns of the captive insurance community about Solvency II, finds Nathan Skinner, but there is still considerable uncertainty and a lack of preparation
-
AnalysisRegulation tops CROs’ concerns
Survey also reveals elevated role and remit of risk function
-
AnalysisCaptives urged to complete QIS5
Last call from Ferma and Eciroa for captive owners to influence Solvency II
-
AnalysisTime to step up
In the latest chapter of StrategicRISK’s editorial campaign, Andrew Keeling, IRM chairman, explains how risk managers can take advantage of the new focus on risk and governance
-
AnalysisRegulatory review 2010
Barbara Ridpath and Richard Reid review the regulatory landscape in 2009 and predict how it will change in 2010
-
AnalysisUS regulatory reform takes shape
In a special report AM Best outlines the proposed financial regulatory changes in the US
-
AnalysisPreparing for economic recovery
Mikael Krohn comments on the changing focus in 2010 for banks and financial institutions
-
AnalysisIn the face of financial crime
The financial crisis has drawn fresh attention to the impact of financial crimes, says Anthony Skinner
-
AnalysisFleming outlines goals for RIMS’ 60th year
Terry Fleming, soon to be president of RIMS, tells StrategicRISK what his intentions are for the worlds biggest risk association
-
AnalysisCarbon risk management
Matthew de Villiers explains how risk managers can affect the potential impacts, obligations and associated risks of carbon management





