“2014-2015: the point of view of Italian Financial Risk Managers” - CRIF study

​On the occasion of the IX AIFIRM Convention, CRIF produced a study of the banking and financial market in Italy, based around several themes relating to Risk Management and the evolution of the operating needs of the industry.
 
​The aim was to analyze market expectations and practices in the Risk Management sector so as to understand the evolution of the business model and strategic policies, and the effects on profitability/asset allocation policies. The CRIF study presents the point of view of various economic players, including the financial world - banks and financial institutions of all sizes - the corporate world, and academia.

Specifically, the research related to the predominant strategic levers, planned legislative and operational developments, and expectations regarding trends in risk, the profitability of the lending business, and how the role of Risk Manager is evolving.