Svetlana Borovkova’s column about climate risk, includes risks and benefits of climate change, awareness, balanced toolkits and climate risk as an investment fundamental factor.
Amba Zeggen’s column in the Financial Investigator is about scenario analysis and predictions, including the power of con arguments and the art of synthesis.
Svetlana Borovkova’s column about choosing the right data provider for your sentiment strategies, including type of content, asset universe, type of output, frequency, history, and language.
Pim Poppe’s column in the Financial Investigator is about the ECB climate stress test, the interest of institutional investors, critics and inspiration for asset managers and owners.
Svetlana Borovkova’s column in the Financial Investigator about Economic Scenario Generators: how to simultaneously model multiple economic variables, such as interest rates and stock market returns.
Svetlana Borovkova’s column in the Financial Investigator about risks, pitfalls and dangers of Economic Scenario Generators.
Renze Munnik’s column in the Financial Investigator is about risk governance as symptom control, including the deficit of risk management, incidents, and critical reports.
Renze Munnik’s column in the Financial Investigator is about taking financial risks to achieve returns and minimizing non-financial risks.
Svetlana Borovkova and Pim Poppe about goals of gender balance, business cases, unintended consequences, new ways of thinking and gender diversity benefits.
Renze Munnik’s column in the Financial Investigator is about why the tax reform agreed upon by the G7 is attractive, including the benefits of volume and margin.