In recent years, financial institutions have improved the capabilities of their risk management programs to manage traditional risk types such as market, credit, and liquidity risk. Managing nonfinancial risk is now assuming greater importance, both for regulators and institutions. Among the many nonfinancial risks, increasingly sophisticated cyberattacks by individuals and nation states have made cybersecurity a top concern.
Deloitte’s Global risk management survey, 11th edition is the latest edition in this ongoing survey series that assesses the industry’s risk management practices and the challenges it faces. The survey was conducted from March 2018 to July 2018 and was completed by 94 financial institutions around the world that operate in a range of financial sectors and with aggregate assets of US$29.1 trillion.
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https://documents.deloitte.com/insights/GlobalRiskManagementSurvey