Risk.net Special Report Series for 2017

For nearly 30 years, Risk has been the information resource of choice for senior financial services executives. With access to some of the most senior figures in the market, we are able to secure core risk management, regulation and derivatives stories first. Displayed alongside other business influencers from key financial institutions, these reports provide an effective means of delivering custom content to your target audience digitally and in print.

Our special reports:

  • Cover topics and trends that are driving debate
  • Change in your industry
  • Provide our sponsors and associates, an opportunity to create
    and distribute highly visible thought-leadership that is aligned with our hugely respected brands.
  • Are distributed in print to our reader base
  • Hosted online and circulated at our leading industry events.
Special report topic Quarter
ESG / Socially Responsible Investing Q1/2
Smart Beta and Factor Investing Q1/2
Cyber Risk  Q1/2
Geo-Political Risk  Q3/4
Banking Book Risk Q3/4
XVA Q3/4
Structured Products Q3/4
Market Surveillance: The road to MAR compliance Q3/4

In addition, to the above benefits, lead generation opportunities are also available for select sponsors who will receive full contact details of the leading decision-makers who have engaged with the report.

To find out more, please contact: [email protected]