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Market liquidity risk product of the year: Bloomberg
Accurately quantifying liquidity risk remains a significant challenge across the financial industry. As regulators increasingly focus on market liquidity and liquidity risk frameworks, the ability to generate accurate and defendable metrics is paramount
Best support for risk-free rates: Bloomberg
Bloomberg has been awarded Best support for risk-free rates at the 2023 Risk Markets Technology Awards
FX Smart Clearing at LCH ForexClear: solving SA-CCR capital challenges
LCH ForexClear explores how, with the standardised approach to counterparty credit risk increasing the capital requirements of banks’ FX portfolios, its FX Smart Clearing solution can reduce capital burden and achieve additional savings for members
Navigating the volatility and complexity of commodity markets
Commodity markets have experienced significant challenges since the Covid-19 pandemic, the conflict in Ukraine and the subsequent sanctions imposed on Russia. These unprecedented events have caused fluctuations in supply and demand, disrupted global…
XVA calculation product of the year: Numerix
Numerix has won the XVA calculation product of the year award at the 2023 Risk Markets Technology Awards in recognition of Oneview for XVA
Best execution product of the year: Tradefeedr
Tradefeedr has won Best execution product of the year at the 2023 Risk Markets Technology Awards
Best UMR: Adenza
Adenza has won the Best UMR award for its end-to-end collateral management and margin solution, Calypso
Central counterparty clearing support product of the year: Adenza
Adenza’s Calypso clearing support product provides holistic, integrated clearing on a single platform and offers a huge range of functionalities
Electronic trading support product of the year: TransFICC
TransFICC provides electronic trading support through low-latency connectivity workflow services for banks and buy-side institutions that trade fixed income and derivatives products
Fundamental Review of the Trading Book product of the year: Opensee
The amount of data and sophistication of analytical capabilities required by financial institutions continues to increase with the ever-expanding regulatory requirements in risk monitoring and regulatory reporting
Regulatory reporting product of the year: Droit
Droit’s Transaction Reporting product, built using its patented Adept platform, provides financial institutions with powerful tools for critical trade and transaction reporting flow
Best use of cloud: Adaptive Financial Consulting
The Adaptive Platform Solution is an in-house electronic trading system development acceleration framework
Market scenario generator of the year: Conning
Conning’s GEMS economic scenario generator allows financial services firms to test business models and investment strategies against a wide variety of economic conditions for portfolio and risk management
Best modelling innovation: CompatibL
CompatibL wins the Best modelling innovation award for the second year running, this time for creating a new type of interest rate model based on autoencoders
Transforming risk controls for next-level decision-making
In an exclusive Risk.net panel session, convened in collaboration with ServiceNow, experts discussed the unique challenges facing risk and resilience practitioners, and the utilisation of frameworks and risk quantification for optimal decision-making…
ESG: the new risk factor in your portfolio
Risk officers, managers and quants at leading buy-side firms are experimenting with ESG as an ‘alpha enhancement’ to day-to-day risk management, to stay ahead of the pack and boost profit-and-loss margins
Leveraging data science for next-generation risk and P&L
Alexei Tchernitser, director of analytic solutions at Quantifi, discusses the impact data science has had on next-generation risk, and profit and loss (P&L)
Repo clearing: trends, developments and outlook
Recent volatility in the UK gilt market has highlighted the repo market’s need for CCP stability, predictability and resilience. LCH RepoClear unpacks the trends and key developments of 2022, and shares an outlook for 2023
Digital banks: harnessing technology to deliver growth
In their relatively short lives, digital banks have needed to navigate some choppy waters, but the stormy economic outlook for 2023 could mean the roughest seas are yet to come. Weathering the storm will require digital banks to make astute technology…
Optimising balance sheet management in today’s market conditions
Financial institutions are going to continue struggling with challenges and volatility in 2023
The evolving use of swaps by pension schemes
The end of the Emir mandatory swaps clearing exemption for pension scheme arrangements (PSAs) is approaching. Susi de Verdelon, global head of LCH SwapClear, discusses the significance of the upcoming change for PSAs, and the implications for their…
Raising the bar on real-time trade controls with next-gen tech
In an exclusive Risk.net panel session, convened in collaboration with Droit, experts discussed the evolving challenges and opportunities resulting from tighter regulations, and tips for building a future-proof real-time trade control framework
Impactful short duration: green bonds and yield curve strategies
In the search for impact and yield, how does a green bond investment strategy compare with the performance of the wider European credit market?
S&P Indices versus Active (SPIVA): institutional scorecard
How well do actively managed equity funds stack up against their index benchmarks over short- and long-term periods?