1. My Start Page
AllianceBernstein
Remember Me
Haven't registered?

Other Opinions Summary

  • Risk

How Have Asset Managers Handled Risk in the Recent Crisis?

August 23, 2011

Since late July global financial markets have experienced the most extreme volatility since 2010, putting to the test many of the risk protections that were put in place following the financial crisis of three years ago.

Institutional Investor spoke with several chief investment officers about how their risk analytics fared and how they are currently positioned.

Clients Only

The content you have selected is for clients only. If you are a client, please continue to log in. You will then be able to open and read this content.