Ahead of the Curve cover art

All Episodes

Ahead of the Curve — 40 episodes

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Title
1

Agentic AI in Quant Risk: Adoption, Open Source and What Comes Next

2

Synthetic Risk Transfers, Non‑Bank Financial Institutions, and Regulatory Focus? What’s Driving the Momentum?

3

Artificial Intelligence and Tokenisation in Post Trade Solutions: Current Applications and Future Plans

4

Unpacking the Agenda with Scott O’Malia

5

Risk Reimagined: The Rise of Open Source in Finance

6

Navigating Complexity: FMS, Risk Management & the Power of Open Source

7

Market Outlook 2025 - A focus on the OTC Derivatives landscape

8

Ahead of the Curve: 2024 Year in Review – Open Source Risk Engine (ORE)

9

Navigating Counterparty Credit Risk & NBFI Oversight

10

ISDA SIMM 2.7: Challenges and Opportunities

11

The Evolution of Model Validation: Why governance is essential

12

Building a comprehensive market data utility for risk and pricing calculations

13

Unpacking the Agenda - Part 3

14

Counterparty Credit Risk – How Regulators are raising the bar in the wake of the Archegos default.

15

Harnessing counterparty credit risk using the open source risk engine

16

Implementing Open-Source Risk Engine: Accessing online resources

17

Super-charging ORE: How technology advancements have enabled improved run times using GPUs

18

Can Open Source Technology truly help to build the future of risk management?

19

Upcoming Regulation: A 2024 Outlook

20

Basel III - Not the Endgame – A refreshing perspective

21

Completing the circle for fully automated collateral settlement

22

Changes in SIMM - How has the industry reacted?

23

Expanding Open-Source Risk Engine (ORE) Functionality - How it’s flexible deployment offers a real choice for firms

24

Understanding Risk & Capital Management for crypto derivatives firms

25

Optimal Margin Management – Heralding a new era in UMR compliance

26

Removing the Risk: Why a centralized risk calculation service has been adopted by the derivatives industry

27

Unpacking the Agenda Part 2: Crypto, ESG, UMR

28

Collateral Validation: Demystifying the Complexity & Challenges

29

The Evolving Risk Management Landscape: How to stay competitive in the post UMR world

30

Wrapping up the final phase of UMR: The crucial role of initial margin monitoring

31

Moving forward with Backtesting: Unravelling European requirements for IM model validation

32

Open-Source Technology – What role can it have in the risk industry?

33

Below the Threshold – How Phase 5 & 6 firms can save time and money by monitoring initial margin

34

Are you invested in agreement digitization?

35

A critical moment of industry change – the impact of SA-CCR Capital

36

Unpacking the Agenda: The Biden Administration, a new SEC Chairman, UMR Phase 5, LIBOR, and the digital future ahead.

37

Transformation: What does this really mean for the Derivatives industry?

38

Leaving Libor: The Road to Risk Free Rates

39

Crunch time: Why data standardization in OTC Derivatives matters

40

Adapting to change – how crisis fuels innovation