The transformation of financial ecosystems to more digital ones is leading to very practical changes in the methods of credit ...
For financial institutions, threat modeling must shift away from diagrams focused purely on code to a life cycle view ...
Learn about model risk, its causes, management strategies, and real-world examples from financial industry pitfalls. Unlock insights to reduce risk and enhance decision-making.
The gap between AI and traditional risk modelling is substantial. Traditional models often fall short when dealing with complex, non-linear relationships. In contrast, AI models thrive in detecting ...
CSC and Towers Perrin have announced the availability of Financial Risk Intelligence, a new offering to streamline financial risk and capital management analytics for US life insurance and annuity ...
Banks and other institutions are eager to make use of the technology to lighten their burden, but they should be careful in ...
Accurate valuations are paramount in financial analysis, influencing corporate strategies, as well as investment decisions and market perceptions. Among various valuation methods, the discounted cash ...
The combined technologies will provide (re)insurers and brokers with access to wider views of risk, facilitating global resilience for individuals, communities and businesses BOSTON and NEW YORK, ...
Bias and Discrimination. The Executive Order provides for certain action to strengthen AI and civil rights in the broader economy. The Executive Order encourages the director of the Federal Housing ...
More financial advisors are teaming up with model portfolio providers to use their models as a foundation for customization. Custom model portfolios can be adjusted to meet the specific preferences of ...