GARP Risk Podcast
Welcome to the Risk Intelligence Podcast, where the Global Association of Risk Professionals, also known as GARP, brings together the world's foremost Risk Practitioners, from around the globe, for in depth insights and discussions on today's most important risk issues in finance and energy. Here is your chance to listen in.

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Episoder(83)

AI, ML, Blockchain, Crypto and CBDCs: Risks and Opportunities of Disruptive Technologies

AI, ML, Blockchain, Crypto and CBDCs: Risks and Opportunities of Disruptive Technologies

Hear from Wall Street veteran and author Aaron Brown about the impact of fast-evolving technology on risk management. Financial institutions are now using everything from machine-learning modeling and...

30 Okt 202334min

Risk-Based Decisioning in an Age of Uncertainty Part 2

Risk-Based Decisioning in an Age of Uncertainty Part 2

In this podcast Zeynep Salman, Head of Risk Decisioning, EMEA at SAS, will explore the top trends and market practices for financial institutions as they adapt to digitizing credit decisioning. We wil...

6 Sep 202336min

Risk-Based Decisioning in an Age of Uncertainty Part 1

Risk-Based Decisioning in an Age of Uncertainty Part 1

Is it possible for financial institutions to offer on-demand, superior customer experiences while making risk decisions in near real-time in an increasingly digital and interconnected world? That is t...

23 Aug 202333min

Risk Management's Latest Trial by Crisis

Risk Management's Latest Trial by Crisis

Hear veteran risk manager, advisor and professor Clifford Rossi's perspective on recent turmoil in the banking system, on where risk management fell short, and the profession's readiness for future ch...

12 Mai 202327min

Behind the Balance Sheet Part 1: Integrated Balance Sheet Management in the Current Banking Climate

Behind the Balance Sheet Part 1: Integrated Balance Sheet Management in the Current Banking Climate

Hear from Dr. Donald van Deventer, Managing Director--Risk Research and Quantitative Solutions at SAS, and Professor Robert Jarrow of Cornell University's SC Johnson College of Business as we continue...

20 Apr 202321min

Behind the Balance Sheet Part 2: Integrated Balance Sheet Management in the Current Banking Climate

Behind the Balance Sheet Part 2: Integrated Balance Sheet Management in the Current Banking Climate

Welcome back for the conclusion of this special two-part podcast series featuring Dr. Donald van Deventer, Managing Director--Risk Research and Quantitative Solutions at SAS, and Professor Robert Jarr...

20 Apr 202322min

SVB and Signature Bank: The Roles of Risk Modeling, Culture and Stress Testing

SVB and Signature Bank: The Roles of Risk Modeling, Culture and Stress Testing

Hear from risk modeling expert Tony Hughes about the parts various risk management techniques played in recent bank failures, as well as the current challenges facing modelers. Risk models have grabbe...

14 Apr 202324min

Forecasting 2023: Predictions for Financial and Non-Financial Risks

Forecasting 2023: Predictions for Financial and Non-Financial Risks

Hear risk management prognostications from Cris deRitis, the deputy chief economist at Moody's Analytics. Risk managers have been severely tested over the past 12 months. Rising interest rates, supply...

17 Feb 202328min

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