Search Results | Showing 1 - 10 of 176 results for %22Risk Metrics%22 |
| | ... traditional ESG principles, such as climate, modern slavery, and governance. Step one of the framework determines materiality risk incorporating 27 AI use cases across nine key sectors. Step two provides governance insight across 10 RAI key indicators ... |
| | | ... the portfolio span a diverse mix of sectors and industries. We're generally invested in larger-cap stocks and our risk metrics are aligned with our view that opportunities are not plentiful in the current environment," Roibu said. "Market shifts can ... |
| | | ... of members. In its Treasury submission, the Institute said the test should include two metrics: the current one and a new risk-adjusted performance measure for super fund products. "This two-metric test would ensure trustees can continue to have confidence ... |
| | | ... embracing elements of innovative thinking and management agility. Importantly, we have also significantly enhanced AMP's risk culture in recent years, giving us a strong foundation from which to make decisions for the future of the business." AMP ... |
| | | ... developers. In his new role, reporting to GCI managing director David Stone, Grajczyk will play a key role in spearheading risk analysis, overseeing deal execution, and driving growth and uptake of the real estate strategy. Prior to GCI, Grajczyk spent ... |
| | | ... organisation and what the company is doing to address it, Davidson said. Companies that fail to report to WGEA face reputational risk, and could point to factors like poor management practices, under-resourcing of HR and payroll, or a company having ... |
| | | ... quite attractive," he said in a market outlook. Like many advisers, Buters tweaks client portfolios as dictated by their risk profile. "If we think equity valuations are high, we might tilt a little bit more defensively in portfolios. If we think equity ... |
| | | ... considering a switch. At 18%, members' intention to switch is the lowest it's been in three years. "Those at the highest risk of switching, referring to members who gave a rating of nine and 10 out of 10, fell from 9% to just 5% - the lowest ... |
| | | ... foremost indicator of bank strength, stood at 11.9%, exceeding the target range of 11% to 11.5%. Meanwhile, the bank's risk provisioning improved, the ratio of provisions to credit-risk weighted assets grew to 1.37%. Westpac also showcased robust ... |
| | | ... FEAL Superannuation CX Benchmarking report found 25% of members who had recently engaged with their super fund are at a high risk of taking their retirement savings elsewhere. This is up from 23% last year. At the highest risk are members under 55 years ... |
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