The State of Next-Generation Market- and Credit-Risk Analytics

Due to the credit crisis that shook the market, beginning in late 2007, financial firms went into a state of turmoil. As a result, many organizations turned to heightening their risk management practices with pleasing results.
The fact is this: the market is still quite volatile and with increased regulation, consumer empowerment, and higher compliance standards, risk management is at the forefront for improvement yet again.
Access the following white paper to gain a firsthand look at the next-generation market and credit-risk analytics that are helping many companies through this touch economic time. Click on the proceeding link to discover what other financial firms are doing to meet risk analytics mandates and what you need to know to stay ahead of the pack.