Do banks need a real-time risk view with rising regulations?
Key Takeaways
This panel will dive into why viewing risk on aggregate and in real-time is crucial and how we can learn from recent market failures.
Topics
- Key risks that markets are facing in a post-pandemic world
- The focus on intraday trading and why monitoring these markets is crucial
- How intraday risk management could have reduced tail risks for Archegos
- Capital Management and Greensill Capital
- Understanding collateral, liquidity and margin risk across asset classes and how market volatility increase the need for visibility and a strong risk framework
- Technologies that can fill the gaps in risk management and help prevent a repeat of recent market failures
Thank you to our sponsor