Risk management in Journal of Applied IT and Investment Management
In Volume 1, No.1 of Journal of Applied IT and Investment Management the causes behind the financial crisis and the collapse of formerly triple-A rated financial institutions are investigated by world-leading academics and global investment management risk survey.
Among the articles:
‘Repairing a failed system’
Read about the ideas on restoring a failed financial system by Professor Ingo Walter, Director of SimCorp StrategyLab.
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‘Credit ratings: IT in the spotlight’
Discover the importance of the right technology platform to support risk management.
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‘Time to rethink risk management?’
Learn why global survey findings question if it’s time to reconsider risk function and approach.
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‘New challenges for operational risk after the financial crisis’
Explore why efficient operational risk management has become crucial and where it is encountered.
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‘Managing macro financial risks’
Find out about leading indicators and early warning signals as well as alertness to opportunities.
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