Analysis – Page 23
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AnalysisLessons from the financial crisis
Mats Isaksson, OECD head of corporate affairs, runs through the risk management lessons from the financial crisis
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AnalysisLessons from the financial meltdown
StrategicRISK associate editor Nathan Skinner talks to Matt Kimber, UK chief risk officer for Marsh and former head of operational risk for the Lloyds/HBOS group
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AnalysisGlobal insolvencies predicted to rise 35%
The economic gods remain thirsty for blood, warned a credit insurer
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Analysis10 steps to better risk management
A new report examines the factors behind the banking crisis and poses some practical steps for rebuilding risk management
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AnalysisA decent proposal
Success for extractive industries in resource rich, low-income countries relies on effectively engaging with the local community. But it is not always easy.
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AnalysisChanging perceptions
Mike Osborne believes that organisations are rethinking their approach to business continuity planning
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AnalysisLessons from Turner
The UK's Financial Services Authority has published the Turner review - a response to the global banking crisis
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Analysis
‘Independent’ risk management needed
The CRO Forum described the elements of risk management that need to be improved to prevent another financial crisis
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AnalysisTurner review: What does it mean?
Lord Turner’s regulatory reform agenda is not just about technical changes to banks’ capital requirements, says Jonathan Jesty
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AnalysisLondon G20 protests
Violence is a possibility but the majority of demonstrations will be peaceful, said Exclusive Analysis
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AnalysisBuyers should pay for ratings
Ratings paid for by investors would eliminate the conflicts of interest that contributed to the financial crisis, says New York Insurance Superintendent Eric Dinallo
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AnalysisInsurers are stable: AIRMIC Live
The impact of the financial crisis has mainly been offset by a hardening of the insurance cycle, say industry experts
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AnalysisBanks need better risk info
The ability to successfully document a risk profile could help banks manage their risks properly, says Mikael Krohn
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AnalysisWhat’s in store under Obama?
More bailouts, social programmes and renewed diplomacy, says Exclusive Analysis
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AnalysisRisk governance is the way forward
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
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AnalysisAon’s bribery fine is a major milestone
But UK authorities have a long way to go to match their US counterparts
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AnalysisWhatever happened to Wall Street?
Problems in the financial services sector are not just the result of a lack of oversight
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AnalysisThe year ahead
Resource shortages and the impact of the financial crisis are likely to be the big risks in 2009, says Control Risks





