Analysis – Page 11

  • Analysis

    Recessionary risk

    23 March 2009

    AIRMIC Live outlines key credit and fraud risks in a recession

  • Analysis

    Risk reaction

    19 March 2009

    When communicating risk companies need to avoid confusing the public because they are prone to overreact

  • Analysis

    Buyers should pay for ratings

    3 March 2009

    Ratings paid for by investors would eliminate the conflicts of interest that contributed to the financial crisis, says New York Insurance Superintendent Eric Dinallo

  • Analysis

    Risk is back

    3 March 2009

    Risk decision making should be based on proper analysis of relevant, timely and accurate information not subjective fears, says Nathan Skinner

  • Analysis

    Power struggles

    17 February 2009

    Chavez's referendum victory increase political risks but Venezuela faces a difficult year with falling oil prices

  • Analysis

    The Emperor’s new clothes

    16 February 2009

    The banking crisis offers an opportunity to adjust our view of how the risk function should be engaged

  • Analysis

    Banks need better risk info

    3 February 2009

    The ability to successfully document a risk profile could help banks manage their risks properly, says Mikael Krohn

  • Analysis

    Risk governance is the way forward

    13 January 2009

    For risk management to work it needs to be focused strategically and not ignored as a back office function, say the authors of Global Risks 2009

  • Analysis

    Whatever happened to Wall Street?

    6 January 2009

    Problems in the financial services sector are not just the result of a lack of oversight

  • Analysis

    The year ahead

    22 December 2008

    Resource shortages and the impact of the financial crisis are likely to be the big risks in 2009, says Control Risks

  • Analysis

    Downfall of the Model?

    1 December 2008

    Don't be over-reliant on models

  • Analysis

    ERM in ratings

    10 October 2008

    Aon conducted a series of workshops on ERM and the rating process. Alex Hindson and Grant Foster present the results

  • Analysis

    Doubts over Solvency II in financial crisis

    8 October 2008

    Oliver Peterken queries whether Solvency II will be passed unchanged considering current questions over regulation and the financial turmoil

  • Analysis

    Procurement – allies or adversaries?

    11 September 2008

    What does the growing involvement of procurement in buying insurance mean for risk managers?

  • Analysis

    Staying alive

    21 July 2008

    Companies are using risk engineering to analyse their biggest vulnerabilities and ensure they remain in business

  • Analysis

    Not ready for warming

    27 June 2008

    A study of European businesses found that only 10% believe they are well prepared for extreme weather as a result of climate change

  • Analysis

    Energy worries

    9 June 2008

    Recent disruptions to fuel supply reveal the need for business continuity planning but some macroeconomic risks are beyond the control of a single company

  • Analysis

    News from NARIM

    3 June 2008

    A change at the top and plans to tackle claims handling were on the agenda in Holland

  • Analysis

    What if?

    6 May 2008

    There are two key phrases in risk management and they are 'what if' and 'if only'

  • Analysis

    Risk management in Sweden

    30 April 2008

    Corporate governance, climate change and ERM all topped the agenda at SWERMA's annual conference