• 31/05/2016

    Cat bonds & Artificial Neural Networks | An example of reinsurance products’ pricing using machine learning methods (2016) by Mikaël BENIZRI, supported by Ziad FARES

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  • 25/02/2016

    Highway to mail

    Everybody tries to collect data from everywhere. Everybody tries to gather specific data from many different sources.

    We do the opposite. We leverage data that is already available and make the most of it!

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  • 25/02/2016

    Big Data Perspectives with Regards to Banking Risk Management

    Paper presenting the impact of Big Data on banks' risk management. 

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  • 16/02/2016

    Blockchain Infographic

    A beginner's guide to blockchain.

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  • 30/01/2016

    RWA Density | What Lies Behind This Underrated Financial Ratio (January, 2016) by Léonard BRIE & Hélène FREON

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  • 4/01/2016

    GRA Booklet - 2015-2016 - Second Edition

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  • 28/12/2015

    The Interest Rate Risk on the Banking Book

    This white paper addresses one of the current "hot topics" for the Financial Services Industry: "the Interest rate risk on the Banking book" (IRRBB).

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  • 13/11/2015

    Robo advisors: evolution or revolution of Wealth Management?

    This document (French only) gives an overview of the opportunities and challenges brought by robo advisors in Wealth Management.

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  • 28/05/2015

    Risk management in exotic derivatives trading

    Banks’ product offering has become more and more sophisticated with the emergence of financial products tailored to the specific needs of a more complex pool of investors. This particularity has made them very popular among investors. By contrast to liquid, easily understandable “vanilla products” with a simple payoff, “exotic” or structured products have a complex risk profile and expected payoff. 

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  • 10/06/2015

    Rethinking Cyber Security

    In today’s environment with cyber threats being unavoidable, early detection, responsiveness, rapidity to recover and integration into a comprehensive framework are key for financial institutions.

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