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Financial risk solutions for financial markets
IBM Corporation
Brief Description
The current global financial crisis underscores the importance of maintaining high standards in financial risk management. To improve practices, financial institutions must find balance between commercial success and business sustainability. Increase the quality, transparency and timeliness of risk information. Proactively manage risk exposure and liquidity. Understand complex risk effects such as contagion and correlation. These issues will likely be translated into new regulation.

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