The Value of Risk Management in a VUCA World

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Over the last few years, organizations have faced increasingly volatile, uncertain, complex and ambiguous (VUCA) conditions - evidenced in market volatility; adverse weather patterns, geo-political tensions/fragmentation and increased cyber attacks. This presentation demonstrates how risk management frameworks can be used to protect/create value for financial institutions, amidst these VUCA conditions.

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Categories: AFIR / ERM / RISK

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