Liquidity Shortfalls and Record-High Market Volatility Call for More Stringent Stress Testing, Monitoring and Reporting 

The current market environment is now driving regulators to further increase emphasis on liquidity reporting and stress testing across the industry, is your firm ready?

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Regulators continue to focus more on liquidity risk

With highly volatile markets becoming the norm, it is more important than ever before that asset and fund managers have a solid and robust liquidity risk management program in place. The asset management sector has been the focus of significant regulatory reforms in the US and EU, and most recently, those centered on strengthening asset-side liquidity requirements and requiring the use of liquidity management tools.

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