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2015 Q2


This second-quarter issue of Banking Perspectives focuses on risk, a topic that has received heightened attention from bankers and regulators since the financial crisis started in 2008. Risk comes in many shapes and sizes and banks have spent substantial resources to better understand, measure and mitigate risks across their respective organizations. Managing numerous types of risk successfully – including systemic, legal, market, geopolitical, credit, and culture risks, to name but a few – requires new thinking, skills, data, and tools.

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