Markets we serve

Our Communities

Incisive Media serves professional business markets, delivering high-quality, timely information to our communities as quickly as possible, in the format our readers want it, when they need it. Our objective is to provide them with information, events and services that make them more effective in their jobs. We aim to put ourselves at the heart of those markets, meeting their information needs with creative solutions, digitally or in person, that deliver authoritative and engaging content. We organise our business into two divisions, Incisive Business and Incisive Insight.

Incisive Business

Incisive insight


Risk Management

Our risk management brands lead the field in providing news and analysis on risk management, derivatives and regulation. The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use. Our brands meet those needs, covering the issues that matter earlier and in more depth than anyone else.

Our global portfolio of risk management events is extensive and they have become the premier meeting place for the risk community. The events use a variety of formats: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, webinars and esymposiums, and are widely considered by the industry to be the leading events in their field.

Risk.net

Risk.net is the only site dedicated to risk management, derivatives and complex financial products. It is an online portal providing full access to the latest content from seven market-leading publications - Asia Risk, Energy Risk, Insurance Risk, Operational Risk, Risk, Structured Products and Hedge Funds Review. Our journalists regularly break exclusive stories and only a tiny fraction of these stories appear in the print magazines. All stories are based on conversations with leading regulators, risk managers and heads of derivatives trading. They look at issues in depth and offer analysis and context on the events that matter most for our audience.
SEE MORE


Asia Risk

Asia Risk is dedicated to informing and helping those in the widening risk management arena to understand the challenges of risk management today. We cover exchange-traded and OTC products, legal, regulatory and documentation issues, academic papers, practical trading and investment strategies, as well as financial technology. Based in Asia, our editorial team not only provides an unparalleled insight into what is happening at the cutting edge of risk management and regulation in each local market, it also investigates the latest investment strategies adopted by banks and institutional investors in the region.
SEE MORE


Energy Risk

Energy Risk is the only information provider specialising in risk management in the energy sector. Its long-standing monthly magazine is required reading for risk professionals at every major energy producer, consumer and trading house globally. Coverage ranges across news, features, profiles, regulatory updates and analytical articles to cutting-edge quantitative papers. With offices and editorial staff in London, New York, and Hong Kong, there is independent reporting and analysis on the industry worldwide. Daily news is provided via our website, while conferences, training sessions and awards ceremonies in the US, Europe and Asia bring the industry’s leading minds together.
SEE MORE


Insurance Risk

Insurance Risk places a premium on the first-hand experiences of practitioners such as trustees or chief risk officers with direct responsibility for managing insurance or pension liabilities. We provide access to exclusive specialist risk and capital management intelligence for the industry. Our readers can understand and stay in touch with risk management developments in the global insurance industry, such as Solvency II. Our coverage provides expertise through technical articles and demystifies advanced techniques such as economic capital modelling for less sophisticated life and pensions companies.
SEE MORE


Operational Risk

Operational Risk is the only subscription service with global coverage of governance, risk and regulatory compliance in the financial services industry, designed to help our readers find the way through the complex challenges they face. Whether identifying regulatory initiatives, evaluating risks or ensuring they keep their company on the right side of the law, we provide the toolkit they need to succeed. Operational Risk helps our community think strategically about key issues so they can implement solutions that focus on best practices and add value, as well as keeping them informed on the actions their peers are taking.
SEE MORE


Risk

Risk forms the leading subscription service covering financial risk management, regulation and derivatives news and analysis. Risk’s aim is to promote best practice, educate and lead debate across the industry. Subscribers benefit from valuable insights into how the industry’s top players from the banking, institutional and corporate worlds manage risk. They also enjoy the very latest news and developments in risk management, derivatives pricing and trading, regulation, law and documentation, exchanges, and clearing and settlement. Risk covers all the issues that matter, both across a range of formats including tablet, mobile, print and online.
SEE MORE


Custody Risk

Custody Risk has been providing in-depth and authoritative coverage of investment back- and middle-offices for more than a decade. We focus on the funds services market and our target audience is key decision makers around custody and fund administration at investment managers, institutional investors in addition to the custodians and fund administrators themselves. Our news, features, surveys, awards and industry roundtables are a key source of market intelligence for the financial services industry. Custody Risk's specialist editorial team travels the globe, mapping out the trends, profiling the markets and investigating the business processes that matter, ensuring our readers are fully aware of the key current and future issues. A combination of unrivalled editorial excellence and unparalleled engagement with the industry makes Custody Risk magazine and www.risk.net/custody-risk a must read for all serious investment professionals.
SEE MORE

Structured Products

Structured Products covers the fast-growing market for guaranteed investment products, structured notes, exchange-traded funds (ETFs), index products, alternative investments and fund of funds. It crosses equity, fixed income, foreign exchange, and commodity-linked and other asset classes. Structured Products provides educational and thought-leadership articles on product innovations, technology and industry initiatives. It also provides distributors and creators of retail and institutional investment products with analysis of new structured product and ETF deals in the market, plus detailed coverage of regulatory and tax changes.
SEE MORE


Risklibrary.net

Risklibrary.net is a constantly updated resource centre for risk management, derivatives and regulation professionals within the financial services industry. The wide-ranging library has well over 500 white papers, analyst reports, legal briefings, as well as webinars authored by industry experts working in leading multinational organisations. It covers key areas such as risk management, foreign exchange, private equity, derivatives trading, regulation and financial technology.

The site is free and easy to use, it has a separate members’ area for managing settings and storing favourites. All papers are categorised according to business area and asset class so users can quickly find what they are looking for. Visitors can also view the latest and most popular papers, editor’s picks and related documents. In addition, users can set up tailored email alerts so they are notified when papers and reports covering areas that interest them are published on risklibrary.net.
SEE MORE

Jobsinrisk.com

Jobsinrisk.com is the only dedicated job site for the Risk sector, advertising roles within all areas of Risk, Compliance, Audit and Regulation. Each year our network continues to grow, ensuring vacancies are seen by more Risk and Compliance professionals than any other job site. We have access to a larger talent database than ever before, with our association to the Risk magazine and Risk.net brands. We offer the most advanced job posting and job search functionality for quicker, cleaner candidate access and job applications. We now have more advanced ways to capture the imagination of candidates with our low-friction job alert sign-up and fastest-growing CV database. Constantly updated with a wide selection of risk jobs, we can provide unrivalled access to this unique and hard-to-reach audience.

60% of our audience are actively looking for a job. 65% have applied for a job on Jobsinrisk.net, 55% have registered for job alerts and 54% have uploaded their CV. jobsinrisk.com attracts skilled candidates with 63% of our audience having more than 10 years' experience.
SEE MORE

Risk Journals

Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management. Each quarter the nine Journals contain peer-reviewed research and technical papers, delivered to a global audience. Now in their 17th year, the Journals serve broad and international readership communities that bridge academia and industry. Their mission is to equip readers with the right tools to fulfil their professional potential. Only original and innovative papers are published, ensuring subscribers keep up to date with the ever-changing complexity behind the science of risk management.

Our portfolio is: The Journal of Computational Finance, The Journal of Risk, The Journal of Credit Risk, The Journal of Operational Risk, The Journal of Risk Model Validation, The Journal of Energy Markets, The Journal of Investment Strategies, The Journal of Financial Market Infrastructures, The Journal of Network Theory and Finance.
SEE MORE


Risk Books

Risk Books has been a world leader in publishing specialist books on risk management and the financial markets for more than 20 years. We cover a wide range of technical subjects for practitioners, corporate users, academics and investors, ranging from the energy, insurance and currency markets to quant analysis, operational risk, derivatives, hedge funds, credit and regulatory issues. We continuously strive to improve the quality and effectiveness of our products and aim to bring readers content that engages, stimulates and, most of all, is useful in their work.

We are committed to maintaining our reputation as a leading, well-respected financial publisher and acknowledge that the expertise of our authors are our most important assets in publishing titles that our readers have come to expect. It has been our goal to establish relationships with writers and editors of the highest calibre, to be able to produce books that make a genuine difference.
SEE MORE

Risk Management Events

Our global events are the premier meeting place for the risk community. There are a variety of formats to choose from: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, and e-symposiums. These are widely considered by the industry to be the most specialised events in their field and are attended by the top players from the world of banking, investment and corporate financial risk management.

Our conferences and training courses are developed following months of rigorous industry research, backed up by Risk’s incisive editorial expertise. Content is both comprehensive and technically focused, delivering cutting-edge and thought-provoking perspectives on industry trends and fast-changing, complex developments. Subjects covered include financial risk management, derivatives pricing and trading, clearing and settlement, and regulation.
SEE MORE

Risk Management

Our risk management brands lead the field in providing news and analysis on risk management, derivatives and regulation. The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use. Our brands meet those needs, covering the issues that matter earlier and in more depth than anyone else.

Our global portfolio of risk management events is extensive and they have become the premier meeting place for the risk community. The events use a variety of formats: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, webinars and esymposiums, and are widely considered by the industry to be the leading events in their field.

Risk.net

Risk.net is the only site dedicated to risk management, derivatives and complex financial products. It is an online portal providing full access to the latest content from seven market-leading publications - Asia Risk, Energy Risk, Insurance Risk, Operational Risk, Risk, Structured Products and Hedge Funds Review. Our journalists regularly break exclusive stories and only a tiny fraction of these stories appear in the print magazines. All stories are based on conversations with leading regulators, risk managers and heads of derivatives trading. They look at issues in depth and offer analysis and context on the events that matter most for our audience.
SEE MORE


Asia Risk

Asia Risk is dedicated to informing and helping those in the widening risk management arena to understand the challenges of risk management today. We cover exchange-traded and OTC products, legal, regulatory and documentation issues, academic papers, practical trading and investment strategies, as well as financial technology. Based in Asia, our editorial team not only provides an unparalleled insight into what is happening at the cutting edge of risk management and regulation in each local market, it also investigates the latest investment strategies adopted by banks and institutional investors in the region.
SEE MORE


Energy Risk

Energy Risk is the only information provider specialising in risk management in the energy sector. Its long-standing monthly magazine is required reading for risk professionals at every major energy producer, consumer and trading house globally. Coverage ranges across news, features, profiles, regulatory updates and analytical articles to cutting-edge quantitative papers. With offices and editorial staff in London, New York, and Hong Kong, there is independent reporting and analysis on the industry worldwide. Daily news is provided via our website, while conferences, training sessions and awards ceremonies in the US, Europe and Asia bring the industry’s leading minds together.
SEE MORE


Insurance Risk

Insurance Risk places a premium on the first-hand experiences of practitioners such as trustees or chief risk officers with direct responsibility for managing insurance or pension liabilities. We provide access to exclusive specialist risk and capital management intelligence for the industry. Our readers can understand and stay in touch with risk management developments in the global insurance industry, such as Solvency II. Our coverage provides expertise through technical articles and demystifies advanced techniques such as economic capital modelling for less sophisticated life and pensions companies.
SEE MORE


Operational Risk

Operational Risk is the only subscription service with global coverage of governance, risk and regulatory compliance in the financial services industry, designed to help our readers find the way through the complex challenges they face. Whether identifying regulatory initiatives, evaluating risks or ensuring they keep their company on the right side of the law, we provide the toolkit they need to succeed. Operational Risk helps our community think strategically about key issues so they can implement solutions that focus on best practices and add value, as well as keeping them informed on the actions their peers are taking.
SEE MORE


Risk

Risk forms the leading subscription service covering financial risk management, regulation and derivatives news and analysis. Risk’s aim is to promote best practice, educate and lead debate across the industry. Subscribers benefit from valuable insights into how the industry’s top players from the banking, institutional and corporate worlds manage risk. They also enjoy the very latest news and developments in risk management, derivatives pricing and trading, regulation, law and documentation, exchanges, and clearing and settlement. Risk covers all the issues that matter, both across a range of formats including tablet, mobile, print and online.
SEE MORE


Custody Risk

Custody Risk has been providing in-depth and authoritative coverage of investment back- and middle-offices for more than a decade. We focus on the funds services market and our target audience is key decision makers around custody and fund administration at investment managers, institutional investors in addition to the custodians and fund administrators themselves. Our news, features, surveys, awards and industry roundtables are a key source of market intelligence for the financial services industry. Custody Risk's specialist editorial team travels the globe, mapping out the trends, profiling the markets and investigating the business processes that matter, ensuring our readers are fully aware of the key current and future issues. A combination of unrivalled editorial excellence and unparalleled engagement with the industry makes Custody Risk magazine and www.risk.net/custody-risk a must read for all serious investment professionals.
SEE MORE

Structured Products

Structured Products covers the fast-growing market for guaranteed investment products, structured notes, exchange-traded funds (ETFs), index products, alternative investments and fund of funds. It crosses equity, fixed income, foreign exchange, and commodity-linked and other asset classes. Structured Products provides educational and thought-leadership articles on product innovations, technology and industry initiatives. It also provides distributors and creators of retail and institutional investment products with analysis of new structured product and ETF deals in the market, plus detailed coverage of regulatory and tax changes.
SEE MORE


Risklibrary.net

Risklibrary.net is a constantly updated resource centre for risk management, derivatives and regulation professionals within the financial services industry. The wide-ranging library has well over 500 white papers, analyst reports, legal briefings, as well as webinars authored by industry experts working in leading multinational organisations. It covers key areas such as risk management, foreign exchange, private equity, derivatives trading, regulation and financial technology.

The site is free and easy to use, it has a separate members’ area for managing settings and storing favourites. All papers are categorised according to business area and asset class so users can quickly find what they are looking for. Visitors can also view the latest and most popular papers, editor’s picks and related documents. In addition, users can set up tailored email alerts so they are notified when papers and reports covering areas that interest them are published on risklibrary.net.
SEE MORE

Jobsinrisk.com

Jobsinrisk.com is the only dedicated job site for the Risk sector, advertising roles within all areas of Risk, Compliance, Audit and Regulation. Each year our network continues to grow, ensuring vacancies are seen by more Risk and Compliance professionals than any other job site. We have access to a larger talent database than ever before, with our association to the Risk magazine and Risk.net brands. We offer the most advanced job posting and job search functionality for quicker, cleaner candidate access and job applications. We now have more advanced ways to capture the imagination of candidates with our low-friction job alert sign-up and fastest-growing CV database. Constantly updated with a wide selection of risk jobs, we can provide unrivalled access to this unique and hard-to-reach audience.

60% of our audience are actively looking for a job. 65% have applied for a job on Jobsinrisk.net, 55% have registered for job alerts and 54% have uploaded their CV. jobsinrisk.com attracts skilled candidates with 63% of our audience having more than 10 years' experience.
SEE MORE

Risk Journals

Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management. Each quarter the nine Journals contain peer-reviewed research and technical papers, delivered to a global audience. Now in their 17th year, the Journals serve broad and international readership communities that bridge academia and industry. Their mission is to equip readers with the right tools to fulfil their professional potential. Only original and innovative papers are published, ensuring subscribers keep up to date with the ever-changing complexity behind the science of risk management.

Our portfolio is: The Journal of Computational Finance, The Journal of Risk, The Journal of Credit Risk, The Journal of Operational Risk, The Journal of Risk Model Validation, The Journal of Energy Markets, The Journal of Investment Strategies, The Journal of Financial Market Infrastructures, The Journal of Network Theory and Finance.
SEE MORE


Risk Books

Risk Books has been a world leader in publishing specialist books on risk management and the financial markets for more than 20 years. We cover a wide range of technical subjects for practitioners, corporate users, academics and investors, ranging from the energy, insurance and currency markets to quant analysis, operational risk, derivatives, hedge funds, credit and regulatory issues. We continuously strive to improve the quality and effectiveness of our products and aim to bring readers content that engages, stimulates and, most of all, is useful in their work.

We are committed to maintaining our reputation as a leading, well-respected financial publisher and acknowledge that the expertise of our authors are our most important assets in publishing titles that our readers have come to expect. It has been our goal to establish relationships with writers and editors of the highest calibre, to be able to produce books that make a genuine difference.
SEE MORE

Risk Management Events

Our global events are the premier meeting place for the risk community. There are a variety of formats to choose from: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, and e-symposiums. These are widely considered by the industry to be the most specialised events in their field and are attended by the top players from the world of banking, investment and corporate financial risk management.

Our conferences and training courses are developed following months of rigorous industry research, backed up by Risk’s incisive editorial expertise. Content is both comprehensive and technically focused, delivering cutting-edge and thought-provoking perspectives on industry trends and fast-changing, complex developments. Subjects covered include financial risk management, derivatives pricing and trading, clearing and settlement, and regulation.
SEE MORE

Risk Management

Our risk management brands lead the field in providing news and analysis on risk management, derivatives and regulation. The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use. Our brands meet those needs, covering the issues that matter earlier and in more depth than anyone else.

Our global portfolio of risk management events is extensive and they have become the premier meeting place for the risk community. The events use a variety of formats: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, webinars and esymposiums, and are widely considered by the industry to be the leading events in their field.

Risk.net

Risk.net is the only site dedicated to risk management, derivatives and complex financial products. It is an online portal providing full access to the latest content from seven market-leading publications - Asia Risk, Energy Risk, Insurance Risk, Operational Risk, Risk, Structured Products and Hedge Funds Review. Our journalists regularly break exclusive stories and only a tiny fraction of these stories appear in the print magazines. All stories are based on conversations with leading regulators, risk managers and heads of derivatives trading. They look at issues in depth and offer analysis and context on the events that matter most for our audience.
SEE MORE


Asia Risk

Asia Risk is dedicated to informing and helping those in the widening risk management arena to understand the challenges of risk management today. We cover exchange-traded and OTC products, legal, regulatory and documentation issues, academic papers, practical trading and investment strategies, as well as financial technology. Based in Asia, our editorial team not only provides an unparalleled insight into what is happening at the cutting edge of risk management and regulation in each local market, it also investigates the latest investment strategies adopted by banks and institutional investors in the region.
SEE MORE


Energy Risk

Energy Risk is the only information provider specialising in risk management in the energy sector. Its long-standing monthly magazine is required reading for risk professionals at every major energy producer, consumer and trading house globally. Coverage ranges across news, features, profiles, regulatory updates and analytical articles to cutting-edge quantitative papers. With offices and editorial staff in London, New York, and Hong Kong, there is independent reporting and analysis on the industry worldwide. Daily news is provided via our website, while conferences, training sessions and awards ceremonies in the US, Europe and Asia bring the industry’s leading minds together.
SEE MORE


Insurance Risk

Insurance Risk places a premium on the first-hand experiences of practitioners such as trustees or chief risk officers with direct responsibility for managing insurance or pension liabilities. We provide access to exclusive specialist risk and capital management intelligence for the industry. Our readers can understand and stay in touch with risk management developments in the global insurance industry, such as Solvency II. Our coverage provides expertise through technical articles and demystifies advanced techniques such as economic capital modelling for less sophisticated life and pensions companies.
SEE MORE


Operational Risk

Operational Risk is the only subscription service with global coverage of governance, risk and regulatory compliance in the financial services industry, designed to help our readers find the way through the complex challenges they face. Whether identifying regulatory initiatives, evaluating risks or ensuring they keep their company on the right side of the law, we provide the toolkit they need to succeed. Operational Risk helps our community think strategically about key issues so they can implement solutions that focus on best practices and add value, as well as keeping them informed on the actions their peers are taking.
SEE MORE


Risk

Risk forms the leading subscription service covering financial risk management, regulation and derivatives news and analysis. Risk’s aim is to promote best practice, educate and lead debate across the industry. Subscribers benefit from valuable insights into how the industry’s top players from the banking, institutional and corporate worlds manage risk. They also enjoy the very latest news and developments in risk management, derivatives pricing and trading, regulation, law and documentation, exchanges, and clearing and settlement. Risk covers all the issues that matter, both across a range of formats including tablet, mobile, print and online.
SEE MORE


Custody Risk

Custody Risk has been providing in-depth and authoritative coverage of investment back- and middle-offices for more than a decade. We focus on the funds services market and our target audience is key decision makers around custody and fund administration at investment managers, institutional investors in addition to the custodians and fund administrators themselves. Our news, features, surveys, awards and industry roundtables are a key source of market intelligence for the financial services industry. Custody Risk's specialist editorial team travels the globe, mapping out the trends, profiling the markets and investigating the business processes that matter, ensuring our readers are fully aware of the key current and future issues. A combination of unrivalled editorial excellence and unparalleled engagement with the industry makes Custody Risk magazine and www.risk.net/custody-risk a must read for all serious investment professionals.
SEE MORE

Structured Products

Structured Products covers the fast-growing market for guaranteed investment products, structured notes, exchange-traded funds (ETFs), index products, alternative investments and fund of funds. It crosses equity, fixed income, foreign exchange, and commodity-linked and other asset classes. Structured Products provides educational and thought-leadership articles on product innovations, technology and industry initiatives. It also provides distributors and creators of retail and institutional investment products with analysis of new structured product and ETF deals in the market, plus detailed coverage of regulatory and tax changes.
SEE MORE


Risklibrary.net

Risklibrary.net is a constantly updated resource centre for risk management, derivatives and regulation professionals within the financial services industry. The wide-ranging library has well over 500 white papers, analyst reports, legal briefings, as well as webinars authored by industry experts working in leading multinational organisations. It covers key areas such as risk management, foreign exchange, private equity, derivatives trading, regulation and financial technology.

The site is free and easy to use, it has a separate members’ area for managing settings and storing favourites. All papers are categorised according to business area and asset class so users can quickly find what they are looking for. Visitors can also view the latest and most popular papers, editor’s picks and related documents. In addition, users can set up tailored email alerts so they are notified when papers and reports covering areas that interest them are published on risklibrary.net.
SEE MORE

Jobsinrisk.com

Jobsinrisk.com is the only dedicated job site for the Risk sector, advertising roles within all areas of Risk, Compliance, Audit and Regulation. Each year our network continues to grow, ensuring vacancies are seen by more Risk and Compliance professionals than any other job site. We have access to a larger talent database than ever before, with our association to the Risk magazine and Risk.net brands. We offer the most advanced job posting and job search functionality for quicker, cleaner candidate access and job applications. We now have more advanced ways to capture the imagination of candidates with our low-friction job alert sign-up and fastest-growing CV database. Constantly updated with a wide selection of risk jobs, we can provide unrivalled access to this unique and hard-to-reach audience.

60% of our audience are actively looking for a job. 65% have applied for a job on Jobsinrisk.net, 55% have registered for job alerts and 54% have uploaded their CV. jobsinrisk.com attracts skilled candidates with 63% of our audience having more than 10 years' experience.
SEE MORE

Risk Journals

Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management. Each quarter the nine Journals contain peer-reviewed research and technical papers, delivered to a global audience. Now in their 17th year, the Journals serve broad and international readership communities that bridge academia and industry. Their mission is to equip readers with the right tools to fulfil their professional potential. Only original and innovative papers are published, ensuring subscribers keep up to date with the ever-changing complexity behind the science of risk management.

Our portfolio is: The Journal of Computational Finance, The Journal of Risk, The Journal of Credit Risk, The Journal of Operational Risk, The Journal of Risk Model Validation, The Journal of Energy Markets, The Journal of Investment Strategies, The Journal of Financial Market Infrastructures, The Journal of Network Theory and Finance.
SEE MORE


Risk Books

Risk Books has been a world leader in publishing specialist books on risk management and the financial markets for more than 20 years. We cover a wide range of technical subjects for practitioners, corporate users, academics and investors, ranging from the energy, insurance and currency markets to quant analysis, operational risk, derivatives, hedge funds, credit and regulatory issues. We continuously strive to improve the quality and effectiveness of our products and aim to bring readers content that engages, stimulates and, most of all, is useful in their work.

We are committed to maintaining our reputation as a leading, well-respected financial publisher and acknowledge that the expertise of our authors are our most important assets in publishing titles that our readers have come to expect. It has been our goal to establish relationships with writers and editors of the highest calibre, to be able to produce books that make a genuine difference.
SEE MORE

Risk Management Events

Our global events are the premier meeting place for the risk community. There are a variety of formats to choose from: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, and e-symposiums. These are widely considered by the industry to be the most specialised events in their field and are attended by the top players from the world of banking, investment and corporate financial risk management.

Our conferences and training courses are developed following months of rigorous industry research, backed up by Risk’s incisive editorial expertise. Content is both comprehensive and technically focused, delivering cutting-edge and thought-provoking perspectives on industry trends and fast-changing, complex developments. Subjects covered include financial risk management, derivatives pricing and trading, clearing and settlement, and regulation.
SEE MORE

Risk Management

Our risk management brands lead the field in providing news and analysis on risk management, derivatives and regulation. The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use. Our brands meet those needs, covering the issues that matter earlier and in more depth than anyone else.

Our global portfolio of risk management events is extensive and they have become the premier meeting place for the risk community. The events use a variety of formats: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, webinars and esymposiums, and are widely considered by the industry to be the leading events in their field.

Risk.net

Risk.net is the only site dedicated to risk management, derivatives and complex financial products. It is an online portal providing full access to the latest content from seven market-leading publications - Asia Risk, Energy Risk, Insurance Risk, Operational Risk, Risk, Structured Products and Hedge Funds Review. Our journalists regularly break exclusive stories and only a tiny fraction of these stories appear in the print magazines. All stories are based on conversations with leading regulators, risk managers and heads of derivatives trading. They look at issues in depth and offer analysis and context on the events that matter most for our audience.
SEE MORE


Asia Risk

Asia Risk is dedicated to informing and helping those in the widening risk management arena to understand the challenges of risk management today. We cover exchange-traded and OTC products, legal, regulatory and documentation issues, academic papers, practical trading and investment strategies, as well as financial technology. Based in Asia, our editorial team not only provides an unparalleled insight into what is happening at the cutting edge of risk management and regulation in each local market, it also investigates the latest investment strategies adopted by banks and institutional investors in the region.
SEE MORE


Energy Risk

Energy Risk is the only information provider specialising in risk management in the energy sector. Its long-standing monthly magazine is required reading for risk professionals at every major energy producer, consumer and trading house globally. Coverage ranges across news, features, profiles, regulatory updates and analytical articles to cutting-edge quantitative papers. With offices and editorial staff in London, New York, and Hong Kong, there is independent reporting and analysis on the industry worldwide. Daily news is provided via our website, while conferences, training sessions and awards ceremonies in the US, Europe and Asia bring the industry’s leading minds together.
SEE MORE


Insurance Risk

Insurance Risk places a premium on the first-hand experiences of practitioners such as trustees or chief risk officers with direct responsibility for managing insurance or pension liabilities. We provide access to exclusive specialist risk and capital management intelligence for the industry. Our readers can understand and stay in touch with risk management developments in the global insurance industry, such as Solvency II. Our coverage provides expertise through technical articles and demystifies advanced techniques such as economic capital modelling for less sophisticated life and pensions companies.
SEE MORE


Operational Risk

Operational Risk is the only subscription service with global coverage of governance, risk and regulatory compliance in the financial services industry, designed to help our readers find the way through the complex challenges they face. Whether identifying regulatory initiatives, evaluating risks or ensuring they keep their company on the right side of the law, we provide the toolkit they need to succeed. Operational Risk helps our community think strategically about key issues so they can implement solutions that focus on best practices and add value, as well as keeping them informed on the actions their peers are taking.
SEE MORE


Risk

Risk forms the leading subscription service covering financial risk management, regulation and derivatives news and analysis. Risk’s aim is to promote best practice, educate and lead debate across the industry. Subscribers benefit from valuable insights into how the industry’s top players from the banking, institutional and corporate worlds manage risk. They also enjoy the very latest news and developments in risk management, derivatives pricing and trading, regulation, law and documentation, exchanges, and clearing and settlement. Risk covers all the issues that matter, both across a range of formats including tablet, mobile, print and online.
SEE MORE


Custody Risk

Custody Risk has been providing in-depth and authoritative coverage of investment back- and middle-offices for more than a decade. We focus on the funds services market and our target audience is key decision makers around custody and fund administration at investment managers, institutional investors in addition to the custodians and fund administrators themselves. Our news, features, surveys, awards and industry roundtables are a key source of market intelligence for the financial services industry. Custody Risk's specialist editorial team travels the globe, mapping out the trends, profiling the markets and investigating the business processes that matter, ensuring our readers are fully aware of the key current and future issues. A combination of unrivalled editorial excellence and unparalleled engagement with the industry makes Custody Risk magazine and www.risk.net/custody-risk a must read for all serious investment professionals.
SEE MORE

Structured Products

Structured Products covers the fast-growing market for guaranteed investment products, structured notes, exchange-traded funds (ETFs), index products, alternative investments and fund of funds. It crosses equity, fixed income, foreign exchange, and commodity-linked and other asset classes. Structured Products provides educational and thought-leadership articles on product innovations, technology and industry initiatives. It also provides distributors and creators of retail and institutional investment products with analysis of new structured product and ETF deals in the market, plus detailed coverage of regulatory and tax changes.
SEE MORE


Risklibrary.net

Risklibrary.net is a constantly updated resource centre for risk management, derivatives and regulation professionals within the financial services industry. The wide-ranging library has well over 500 white papers, analyst reports, legal briefings, as well as webinars authored by industry experts working in leading multinational organisations. It covers key areas such as risk management, foreign exchange, private equity, derivatives trading, regulation and financial technology.

The site is free and easy to use, it has a separate members’ area for managing settings and storing favourites. All papers are categorised according to business area and asset class so users can quickly find what they are looking for. Visitors can also view the latest and most popular papers, editor’s picks and related documents. In addition, users can set up tailored email alerts so they are notified when papers and reports covering areas that interest them are published on risklibrary.net.
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Jobsinrisk.com

Jobsinrisk.com is the only dedicated job site for the Risk sector, advertising roles within all areas of Risk, Compliance, Audit and Regulation. Each year our network continues to grow, ensuring vacancies are seen by more Risk and Compliance professionals than any other job site. We have access to a larger talent database than ever before, with our association to the Risk magazine and Risk.net brands. We offer the most advanced job posting and job search functionality for quicker, cleaner candidate access and job applications. We now have more advanced ways to capture the imagination of candidates with our low-friction job alert sign-up and fastest-growing CV database. Constantly updated with a wide selection of risk jobs, we can provide unrivalled access to this unique and hard-to-reach audience.

60% of our audience are actively looking for a job. 65% have applied for a job on Jobsinrisk.net, 55% have registered for job alerts and 54% have uploaded their CV. jobsinrisk.com attracts skilled candidates with 63% of our audience having more than 10 years' experience.
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Risk Journals

Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management. Each quarter the nine Journals contain peer-reviewed research and technical papers, delivered to a global audience. Now in their 17th year, the Journals serve broad and international readership communities that bridge academia and industry. Their mission is to equip readers with the right tools to fulfil their professional potential. Only original and innovative papers are published, ensuring subscribers keep up to date with the ever-changing complexity behind the science of risk management.

Our portfolio is: The Journal of Computational Finance, The Journal of Risk, The Journal of Credit Risk, The Journal of Operational Risk, The Journal of Risk Model Validation, The Journal of Energy Markets, The Journal of Investment Strategies, The Journal of Financial Market Infrastructures, The Journal of Network Theory and Finance.
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Risk Books

Risk Books has been a world leader in publishing specialist books on risk management and the financial markets for more than 20 years. We cover a wide range of technical subjects for practitioners, corporate users, academics and investors, ranging from the energy, insurance and currency markets to quant analysis, operational risk, derivatives, hedge funds, credit and regulatory issues. We continuously strive to improve the quality and effectiveness of our products and aim to bring readers content that engages, stimulates and, most of all, is useful in their work.

We are committed to maintaining our reputation as a leading, well-respected financial publisher and acknowledge that the expertise of our authors are our most important assets in publishing titles that our readers have come to expect. It has been our goal to establish relationships with writers and editors of the highest calibre, to be able to produce books that make a genuine difference.
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Risk Management Events

Our global events are the premier meeting place for the risk community. There are a variety of formats to choose from: conferences, training courses, seminars, exhibitions, awards and rankings evenings, roundtables, and e-symposiums. These are widely considered by the industry to be the most specialised events in their field and are attended by the top players from the world of banking, investment and corporate financial risk management.

Our conferences and training courses are developed following months of rigorous industry research, backed up by Risk’s incisive editorial expertise. Content is both comprehensive and technically focused, delivering cutting-edge and thought-provoking perspectives on industry trends and fast-changing, complex developments. Subjects covered include financial risk management, derivatives pricing and trading, clearing and settlement, and regulation.
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