Safety and Security Rise to Top Demands from Liquidity Providers Following "Black Thursday", 38% of brokers, banks and fund managers said that they have or are considering switching Liquidity Providers.
A Shift To Hybridized Risk Management Models An effective hybrid principal model is not easy to implement. The shift requires an extremely experienced risk management team.
Corporate Traders Turn to Banks to Reduce Risk in Uncertain Times Tony Bedikian explains how corporate treasury departments seek to mitigate their risk as they battle with increasingly uncertain FX ...
Takeprofit Technology Launches Automated Risk Analysis and Hedging Tool Providing a solution for brokers to automatically move customers from A to B book, Takeprofit Technology has released Detox ...
Product Review: Pre-Trade Risk Management with Fluent Prime Managing risk in a post-SNB world can only be attained by a radically different approach to controlling credit exposure ...
From Winning to Losing: Overreaction and the Availability Heuristic Overreaction can cause winners to become losers, which upon further analysis can be explained by availability heuristics.
Risk Management and Rational Judgement By implementing formalised, predefined risk structures, you greatly reduce the likelihood of irrational decisions.
Risk Management – Acceptance and Understanding Tom Daly of the Academy of Financial Trading describes risk management, having an ego, and trading in the forex ...
R3 Analytics Launches Freemium Risk Management with FX Data Lab R3 Analytics launches a freemium version of their risk management reporting called FX Data Lab for MetaTrader 4 brokers ...
Growing Risk Management Challenges in times of High and Low Volatility It’s time for companies to reassess their approach to risk management and admit to the impact of macroeconomic factors ...