Discover how a risk management framework helps companies identify, manage, and limit risks while balancing growth and protecting capital and earnings.
Following the global financial crisis that began in 2007–08, policy- makers have multiplied their efforts and implemented reforms to strengthen the resilience of the financial sector. But – while ...
One of the most rewarding aspects of my role as President and CEO of The Institute of Internal Auditors is the opportunity to engage with practitioners around the world. Hearing directly from those on ...
The Financial Accounting Standards Board’s proposed update to its hedge accounting standard could help companies with their risk management, but they will probably need sophisticated hedging expertise ...
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Following our September 2024 Alert “Liquidity Management Under AIFMD2: RTS for Open-Ended Funds,” the European Securities and Markets Authority (ESMA) has now published Final Reports for “Guidelines ...
NEW YORK — Three Texas banks are facing regulatory scrutiny after the Federal Deposit Insurance Corp. and the Texas Department of Banking Friday issued consent orders against the firms for various ...
All firms, particularly financial institutions, require access to borrowed funds to carry out their operations, from paying their near-term obligations to making long-term strategic investments. An ...
Northern Trust (Nasdaq: NTRS) released “Asset Owners in Focus: Global Asset Owner Peer Study 2025,” offering insight into the investment and operations strategies employed by institutional investors ...
In our recent alert Loan Origination Under AIFMD2: A Guide, on loan origination under the revised Alternative Investment Fund Managers Directive (AIFMD2), we noted that the European Securities and ...