THE WORLD’S LEADING SOURCE OF EXCLUSIVE IN-DEPTH NEWS AND ANALYSIS ON RISK MANAGEMENT, DERIVATIVES AND COMPLEX FINANCE SINCE 1987
Risk.net has a team of 40 experienced sector specialists across the globe. The Risk.net team works across five desks – risk management, regulation, derivatives, commodities and investing – reviewing complex issues, speaking with practitioners, regulators and other stakeholders, and writing detailed, analytical assessments for our customers.
Risk.net also has a thriving events business, running hugely successful summits and congresses, awards and rankings, briefings, webinars and roundtables.
The global market for risk and risk transfer, currently estimated at £12tn, is increasing in importance and complexity. At its core the three cornerstones:
- Risk management;
- Regulation; and
These three areas are key to understanding the market. Derivatives started as a risk management tool, later becoming a way of expressing market views and ultimately developing into an important layer of the financial system which has been closely tracked by regulators since the financial crisis.
Also fundamental to these markets are the influence and impact of central banks and the on-going changes within the global financial market structure, such as the growing importance of the buy-side.
Our deep and expert knowledge across these areas coupled with our unique access to industry leaders and regulators ensures our insight is valuable, impactful and actionable. We are dedicated to providing trusted advice and analysis to the world’s finance and risk practitioners.
Products & services
Data & Information Services
The guiding principle of our data & information services is exceptional quality of content. With so much changing in the markets we cover, our customers need trusted, detailed intelligence and analysis on what this means for their companies, careers, clients, and competitors.
Analysis & Insight
A loyal, global audience of subscribers rely on the insight we provide. Find out more about our Risk.net subscriptions.
Sponsored surveys, syndicated or custom research programs provide deep insight into customer needs and detailed analyses on market developments and trends.
Peer-reviewed journals and papers and specialist books for quants, analysts, modellers, researchers and academics.
Cutting edge: the quantitative finance section of Risk.net. Publishing exclusive peer-reviewed papers selected for their originality, relevance and applicability to financial markets. Reserved only for the leading thinkers in this space, it also publishes podcasts and comments from practitioners and our editorial team.
Journals: nine separate Journals publishing and delivering academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management.
Risk Books: world leader in specialist books on risk management and the financial markets for over 25 years.
Risk Library: wide-ranging library of white papers, analyst reports and legal briefings covering the key areas of risk management, derivatives trading, regulation, investing and technology.
Our long-established portfolio of over 145 branded annual events range from must-attend virtual summits, festivals and roundtables to industry-focused awards, rankings and training courses. These specialist events enable experts and peers to engage in community-led benchmarking and learning.
Virtual Summits & Festivals
Global portfolio of annual events developed in partnership with our leading editorial teams ensuring that the practitioners stay on top of industry developments and comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use.
Our risk management events meet those needs, as the premier benchmarking arena for the risk community. Delivering practitioner-focused content for the rapidly evolving discipline of financial risk management. The events use a variety of formats and are widely considered to be business critical.
Digital & Niche Events
Focused webinars, roundtables, virtual briefings and think tanks keep our geographically diverse audience up to date with specialist topics on technological change, regulation and compliance.
Industry-led Awards & Rankings
Global series of glittering online award ceremonies, recognising and celebrating excellence within the risk management industry.
Annual rankings identify top dealers, vendors, brokers and banks as voted for by peers and relevant market experts, brought together by our editorial teams.
Risk Training is a global training provider powered by the editorial excellence of Risk.net. Online training courses providing practical guidance on the latest insights, innovations, and challenges across risk management, regulation and derivatives aimed at senior executives and future leaders.
We help clients achieve their business goals with a range of marketing solutions. We are ideally positioned to enable sellers to connect with buyers, delivering measurable return on investment.
Our audience of influential industry decision-makers come from a cross-section of functions (leadership, strategy, finance, operations, sales, marketing, product and technology), and have substantial purchasing power.
A strategic marketing approach to creating and distributing valuable, relevant and consistent content to the right audience via the right channels, including videos, blogs/articles and focused editorial content.
By capitalizing on our large, up-to-date database of hard-to-reach individuals, clients can nurture leads and manage and grow their pipeline through bespoke white paper libraries or qualified lists.
Sophisticated Digital Solutions
Digital solutions and customised packages, including email campaigns, time-based advertising and audience extensions.
Other risk related information and events brands
- N°1market position
- 404,000+monthly page views
- 226,100+size of database
- 60,000+content archive
- 100+countries with more than one session a day