Opalesque, 17th May 2011: Coping with increased risk management and a changing regulatory environment

Ioannis Akkizidis, product manager and financial risk analyst at FRSGlobal (which became part of Wolters Kluwer financial services in September 2010), highlights the significance, relevance and need, especially post the credit crisis, for institutions to embrace unified financial analysis (integrating market conditions with counterparty quality and behaviour related risk via financial instruments; where performance is driven by that of liquidity, value and income in a consistent and transparent manner).
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