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What is Deregulation and How Does it Affect the Financial Sector?

Peak Frameworks

However, it's also spotlighted the need for a balanced approach to regulation, as evidenced by the financial crisis of 2007-2008 , which underscored the potential dangers of overly lax regulatory frameworks. Risk management: Expertise in identifying, assessing, and mitigating financial risks is paramount.

IT 52
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Keeping ESG commercial

The TRADE

It’s about risk management philosophy and methodology,” explains Papanichola. During that period of my training, I was actively taking positions, taking risk, fundamentally managing a portfolio of sorts in macro products.” The more money the business makes, the more money the charity makes,” he explains.

Trading 59
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Unpacking the 20 most impact financial regulations from the last 20 years

The TRADE

In a wider sense, Basel III impacted financial market by promoting greater stability, resilience, and risk management within the banking sector. This has resulted in a range of operational and legal challenges, as well as potential basis risk between Libor and RFR-based contracts.