Willis Tower Watson

Financial institutions risk index


As the market crash of 2008 proves, understanding and managing risk in the financial world is critical.

The Financial institutions 2025 risk index identifies the key mega trends and risks that will impact financial institutions over the next decade, providing detailed analysis of why these risks matter and what companies must do to turn threat into opportunity.

Whilst regulation dominates the conscious of financial leaders, it is still macroeconomics that proves to be the real nadir.

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Custom Publishing Director