Analysts and investors warn tension between different aspects of president-elect’s policy add to risks of a reversal
Insurance industry idea could help address protection gap for developing economies
Cyber risk takes on a new dimension as regulators hold employees responsible and hackers deploy the latest AI; political risk heightens for banks imposing sanctions on Russia; and liquidity risk prompts new rules in US bond markets
Banks are struggling to keep up with criminals who have access to the latest generative artificial intelligence software
Ukraine conflict shows no sign of abating — and financial institutions are being expected to implement the response
Market stress during the period of rising interest rates has prompted more scrutiny — and new rules
The collapses of Credit Suisse and Silicon Valley Bank demonstrate the folly of not having a well-rehearsed response framework
New US rules around the disclosure of data breaches are heaping more pressure on information security chiefs
Migrating data and computer systems to remote servers gives hackers new ways to attack
Financial Stability Board highlights need for capacity to meet margin calls in case of market shocks
US equities, led by ‘Magnificent Seven’, now account for more than 70% of global developed markets
Industry’s reliance on history to predict losses not sufficient for era of climate, cyber and AI risks, Greg Case says
Despite their outsized influence, megacap US companies cannot be accessed by traditional convertible bond investors
New ‘exploratory scenario’ comes as concerns mount about risk posed by offshore arrangement to UK savers
After an era of cheap money, it’s not just the quantum of debt in the system that could be a problem
Banking and finance organisations face a growing onslaught of sophisticated security hacks
Financial corporations and authorities need to step up their security efforts
Industry should be ‘very careful’ about offloading coverage of cyber attacks and pandemics to public sector
Regulators criticise ‘disappointing’ lack of action from lenders to strengthen risk management since 2021
“Our industry does seem to love complexity and to abhor simplicity”
A Fed proposal to change capital requirement modelling risks blindfolding banks and creating perverse incentives to lend
Move to purchase software company part of push into data and risk management products
Platform finds shortcomings in UK fund manager’s oversight of investment teams
Consultation on how to market sustainability comes amid a global push against greenwashing
Despite regulatory issues and doubts over reliability, many believe AI will become more common in financial institutions