By understanding risk aversion, you can help jittery clients get back into the equities market
It’s human nature to avoid what looks like major risk, but that’s almost always the best signal to buy equities
Risk management gets thumbs-up from DBRS; Canada has the world’s soundest banking system, says World Economic Forum
Credit outlook remains strong despite the ongoing rise in loan loss provisions
Government interventions to save the financial system a year ago have created “possibly the biggest moral hazard in history”
Substantial work needed to address firms’ weaknesses
Global markets are transitioning to a new set of norms in the aftermath of the financial crisis, and the new norms will fundamentally change investing and the concept of asset allocation, an investment industry author and executive said on Friday.Mohamed El-Erian, CEO and co-chief investment officer of global fixed income manager Pacific Investment Management Co. […]
Financial risks have increased during the past 12 month, execs say
Funds will be used to sponsor a professorship on risk management
The Basel Committee on Banking Supervision has issued a working paper that examines the interaction of market risk and credit risk, a relationship that has been redefined by the financial crisis, the BIS said Thursday.The paper, which summarizes the findings of a BIS working group, notes that the distinction between market risk and credit risk […]