Thought Leadership
Achieving Operational Resilience in the Insurance Sector: Lessons from COVID-19
This collaborative report investigates the ‘layers’ of operational resilience in insurance firms, and argues that the vital lesson from the pandemic is to prepare for a broad range of future operational scenarios, rather than relying on retrospective…
Insurance and Cyber Security in GRC
This report, developed in collaboration with SAP, is the second in a series examining the crossover between cyber and GRC in different industry sectors.
Chartis Big Bets 2022
Chartis’ annual Big Bets report outlines our major predictions for the year ahead, highlighting some of the key market trends, risk areas and core technologies that form the basis of our 2022 report agenda.
Bridging the Gap: Integrating GRC and Cyber Risk
In this report we explore the growing integration of GRC and cyber risk, and consider how to develop solutions to enable the governance, control, quantification and analysis of a firm’s cyber risk exposure.
Stress Testing and Climate Change
This report from Chartis and Moody’s ESG Solutions Group considers how climate stress tests are developed, and assesses the data, technology and modeling requirements and challenges involved.
Beyond IFRS 17/LDTI: the Journey to System Modernization
This report, a collaboration between Chartis and FIS, examines the impact of IFRS 17 and LDTI on the insurance industry, giving an overview of the changes observed in the market, the industry’s evolving response, and how firms should prepare for the…
Effective Onboarding in Wholesale Banks: Examining challenges and defining best practices
This collaborative report from Chartis and iMeta discusses the risk and technology perspectives of client onboarding in wholesale banking, setting out the challenges and best practices for financial institutions.
The Heart of IFRS 17 Compliance
This report examines the trends and dynamics around IFRS 17 compliance, examining why long-term success for insurance firms requires a heterogeneous, flexible and scalable data-management framework.
Investment Portfolio Excellence: The Conviction of One Truth
This collaborative report assesses how investment managers can gain an accurate, comprehensive view of their portfolios to enhance their competitiveness.
Chartis Big Bets 2021
In this briefing from Chartis Research, we explore the big themes we believe will shape the RiskTech marketplace in 2021 and beyond. This year we view our Big Bets through the lens of COVID-19, in part updating our previous research on the pandemic’s…
Calculating Return on Investment for Client Lifecycle Management Using the Fenergo Solution
Chartis Research and Fenergo have developed a focused return on investment (ROI) model for CLM, to determine how much value financial institutions (FIs) can hope to achieve from their CLM solutions. This report outlines the Chartis model, its methodology…
More Than Just Policy: Effective Model Risk Management in a New Age
This report – a collaborative publication from Chartis and ClusterSeven – examines a crucial period of activity for MRM users and sellers. It considers what MRM now means in a post-IFRS 9/CECL world, and how FIs can develop effective MRM solutions in…
The State of AI in Risk Management
Spotlighting collaborative research between Chartis and our research partner Tata Consultancy Services (TCS), the report analyses the adoption of AI tools by risk departments across financial services.
Case Study: Loxon and MKB Bank
This report details the implementation of a risk rating/scoring solution by Loxon for MKB Bank, a universal bank based in Hungary.
Beyond Detection: Driving Automation and Artificial Intelligence into Financial Crime Risk Management
This report examines AI and automation within the context of an FIU. It explores how these technologies can help in AML and trade surveillance, and offers practical advice on overcoming organizational and regulatory obstacles to their deployment.