Sponsorship opportunities

Sponsorship opportunities

2024 sponsors

Founded by a group of industry experts, ActiveViam understands the data analytics challenges faced by financial institutions across trading desks, risk, and compliance. That is why we pioneered the use of high-performance analytics in finance, helping the largest investment banks, asset managers and hedge funds make better decisions, explain results with confidence, and simulate the impact of their decisions. 

Our mission is to deliver train-of-thought analysis on terabytes of data in the most cost-effective way so our customers can explain their results with confidence and model the scenarios that will optimize their business. We are a pure player specializing in risk data analytics for one of the fastest moving and most regulated industries with a presence in the world’s leading financial marketplaces: London, New York, Singapore, Sydney, Hong Kong, Paris, and Frankfurt.

ActiveViam are also the proud winners of the Best use of cloud and FRTB product of the year at the Risk Market Technology Awards 2024.

For more information please visit: www.activeviam.com

CompatibL is a leading provider of risk management software, model validation and quantitative consultancy services. We provide a unique blend of quantitative and engineering expertise combined with an award-winning risk platform, which now includes an AI Co-Pilot to help with model governance and document comprehension processes. Our customers are some of the most respected firms in the financial industry including four major derivatives dealers, 33 central banks and some of the world’s largest asset managers.

CompatibL Risk Platform is a unique framework for trading, market and credit risk, regulatory capital, limits, and initial margin that can be adopted and customized for the individual needs of a firm.

Advanced features include:

  • Microservices design approach
  • Advanced price curve management
  • Market and credit risk analysis
  • BI reporting tool
  • "What-if" analysis and stress testing
  • AI Co-Pilot for model governance and document comprehension
  • Integration with external pricing feeds using API and market data connectors
  • Robust limit management module
  • Multi-asset coverage, including commodities and commodity derivatives
  • PnL attribution
  • Settlement netting

Our quantitative research program produced multiple innovations in models and numerical methods for counterparty credit risk, settlement risk, risk premia in the yield curve, and has been recognized by multiple awards.

Today, CompatibL employs over 300 people whose only focus is trading and risk management.

Riskonnect is the leading integrated risk management software solution provider. Our technology empowers organizations with the ability to anticipate, manage, and respond in real-time to strategic and operational risks across the extended enterprise.  

 

Riskonnect’s integrated risk management platform consolidates data, connects risks, and illustrates their relationships. Powering our growing suite of risk management applications is our unique risk-correlation engine that helps our customers understand risk at a level they can’t get anywhere else. It’s no wonder that more organizations choose Riskonnect than any other vendor as their preferred risk management technology provider. 

Riskonnect’s integrated risk management platform includes:

  • Risk Management Information System
  • Claims Administration
  • Third-Party Risk Management
  • Enterprise Risk Management
  • Environmental, Social, Governance
  • Internal Audit
  • Compliance
  • Policy Management
  • Project Risk
  • Business Continuity & Resilience
  • Health & Safety
  • Healthcare

To learn more, visit riskonnect.com

TraditionDATA provides consistent, high-quality financial market data that reflect real price interest in global OTC markets, covering FX & Money Markets, Interest Rate Derivatives, Credit & Fixed Income and Energy & Commodities.

Real-time, intra-day, end-of-day and historical pricing originate from Tradition’s global brokerage business. In addition to comprehensive coverage of the most liquid markets, our extensive product and geographic coverage means we can penetrate illiquid markets to provide hard-to-find prices in developing products and regions.

AuditBoard is the leading cloud-based platform transforming audit, risk, compliance, and ESG management. More than 40% of the Fortune 500 leverage AuditBoard to move their businesses forward with greater clarity and agility. AuditBoard is top-rated by customers on G2, Capterra, and Gartner Peer Insights, and was recently ranked for the fifth year in a row as one of the fastest-growing technology companies in North America by Deloitte. To learn more, visit: AuditBoard.com.

Parameta Solutions, the data and analytics division of inter-broker dealer TP ICAP, is a leading global provider of OTC Market Data. From pre to post trade, their solutions help clients manage complex markets more effectively.

In May 2022, the firm became an FCA authorized benchmark administrator. This license has allowed the company to take on administration of the nine TP ICAP interest rate swaps benchmarks that were previously administered by Moorgate Benchmarks.  In April 2023, the firm was also approved as an ESMA authorised benchmark administrator, making it the first IDB to administer OTC benchmarks and indices across Europe AND the UK.

Central to Parameta’s purpose is partnering with clients to create true value. The team is focussed on helping clients navigate changing market conditions, not only by providing world-class proprietary data but also the analysis and insight that will fuel their strategies.

Founded in 1996, Numerix has over 19 offices, 700 clients and 90 partners across more than 26 countries. Numerix is recognized across the industry for its many breakthroughs in quantitative research and is proud of its reputation for being able to price and risk manage any derivative instrument – vanillas to the most sophisticated exotic products. Designed for the next evolution of trading and risk operations for both sell-side and buy-side market participants, Numerix is utilized in many forms by banks, government/development banks, broker dealers as well as a range of buy-side institutions, including insurance firms, hedge funds, pension funds and asset managers. Also, consulting and advisory firms. - See more at: https://www.numerix.com/about-numerix#sthash.AknPS2Di.dpuf

FactSet delivers content, analytics and flexible technology to help more than 160,000 users see and seize opportunities as soon as possible. It offers investment professionals informed insights and workflow solutions across the portfolio lifecycle, and industry-leading support from dedicated specialists.

Sustainalytics, a Morningstar Company, is a leading ESG research, ratings and data firm that supports investors around the world with the development and implementation of responsible investment strategies. For more than 25 years, the firm has been at the forefront of developing high-quality, innovative solutions to meet the evolving needs of global investors. Today, Sustainalytics works with hundreds of the world's leading asset managers and pension funds who incorporate ESG and corporate governance information and assessments into their investment processes. Sustainalytics also works with hundreds of companies and their financial intermediaries to help them consider sustainability in policies, practices and capital projects. With 16 offices globally, Sustainalytics has more than 800 staff members, including more than 300 analysts with varied multidisciplinary expertise across more than 40 industry groups.

S&P Global Market Intelligence integrates financial and industry data, research and news into tools that track performance, generate alpha, identify investment ideas, understand competitive and industry dynamics, perform valuation and assess credit risk. It offers investment professionals, government agencies, corporations and universities the intelligence essential to make business and financial decisions with conviction.

ServiceNow makes the world work better for everyone. Our cloud-based intelligent platform helps digitise and unify organisations to drive smarter, faster ways to address evolving risks, vulnerabilities, and compliance challenges. Power your resilient enterprise with risk-informed decisions embedded in daily work. Connect the business, security, and IT to manage risk and resilience in real time.

At EY, we share a single focus — to build a better financial services industry, one that is stronger, fairer and more sustainable.

Our strength lies in the proven power of our people and technology, and the possibilities that arise when they converge to reframe the future.

Our professionals are dedicated to the industry, and live and breathe financial services. This deep sector knowledge combined with a holistic point of view, delivers true value from strategy through to implementation. Whether your business challenge is specific, complex, small or large, we can be trusted to deliver solutions that work for today and tomorrow.

By using technology as a tool, to transform what a business can be, and people can do, we are building long-term value for our financial services clients. It is how we play our part in building a better working world.

Opensee is an award-winning technology company that provides financial institutions with a real-time self-service Data Management & Data Analytics Platform, run on any cloud, on-premise, or hybrid cluster.

Created by Capital Markets experts, our solutions cover a wide range of risk, finance, and trade use cases. With unrivaled time to value and performance / cost ratio by combining high-performance computing with AI, Opensee allows banks, asset managers, and hedge funds to build any size domain-specific data referentials, setting a new bar for hyperfast aggregation, calculation, and simulations across any data volume and model complexity.

Opensee allows financial institutions to not only achieve data explainability but also to do so in a way that is cost-effective, performance-driven, and adaptable to real-time requirements. This empowers efficient decision-making, regulatory compliance, and streamlined risk management. 

With offices in London, Paris, New York, and Singapore, we are proud to work with a trusted client base across global Tier 1 banks, asset managers, hedge funds, and trading platforms.

Learn more at opensee.io

Gresham Technologies plc (Gresham),  is a global leader in mission critical software and automation solutions for financial services. 

Our award-winning Clareti platform helps firms operate efficiently, manage risk, stay compliant, and focus on their customers knowing that their data and digital processes are under control. Listed on the main market of the London Stock Exchange (GHT.L) and headquartered in the City of London, our industry recognized Connect and Control Solutions, Data and Managed Services are proven at nearly three hundred organisations worldwide, including many of the world's largest banks, investment managers and corporates. 

www.greshamtech.com 

Chartis Research is the leading provider of research and analysis on the global market for risk technology. Our goal is to support companies as they drive business performance through improved risk management, corporate governance and compliance. We also help clients make informed technology and business decisions by providing in-depth analysis and advice on virtually all aspects of risk technology.

Chartis is focused solely on risk and compliance technology, giving us a significant advantage over other market analysts. Our analysts and advisors have decades of hands-on experience of implementing and developing risk management systems and programs for Fortune 500 companies and leading consulting houses.

 

https://www.chartis-research.com/

Risky Women® is a global network connecting, celebrating and championing women in risk, regulation, and compliance. Providing a voice for the female perspective of our rapidly growing, changing, and influential industry. We strive to bring together women shaping the debate and the industry. 

The Global Association of Risk Professionals is a non-partisan, not-for-profit membership organization focused on elevating the practice of risk management. GARP offers the leading global certification for risk managers in the Financial Risk Manager (FRM®), as well as the Sustainability and Climate Risk (SCR®) Certificate and ongoing educational opportunities through Continuing Professional Development. Through the GARP Benchmarking Initiative (GBI)® and GARP Risk Institute (GRI), GARP sponsors research in risk management and promotes collaboration among practitioners, academics, and regulators.
Founded in 1996 and governed by a Board of Trustees, GARP is headquartered in Jersey City, N.J., with offices in London and Hong Kong.
For more information, visit garp.org or follow GARP on LinkedIn, Facebook, and X (formerly Twitter).

Risk Books has been a world leader in specialist books on risk management and the financial markets for over 20 years. Risk Books is proud to be a niche publisher that has quality as its top priority.

Our mission is to produce books that truly add value by delivering the very best information on our specialist subjects. And with more than 180 different titles currently in print, Risk Books covers a wide range of technical subjects for academics, practitioners, investors and corporate users - ranging from derivatives, hedge funds, quant analysis, credit, regulatory issues and operational risk to the energy, insurance and currency markets – with books for experts and scholars alike.

Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management.

Each quarter, Risk Journals provide peer-reviewed research and technical papers, delivered to a global audience in print and online. The Risk Journals portfolio has been serving, broad and international readership communities that bridge academia and industry for over 25 years. The mission of Risk Journals is to equip readers with the tools to fulfil their professional potential.

Risk Journals publishes original and innovative papers, ensuring subscribers are kept up-to-date with the ever-changing complexity behind the science of risk management.

https://www.risk.net/journals

Designed and delivered by industry experts and thought leaders, Risk Learning covers a range of topics across risk management, derivatives and complex financial markets. Risk Learning courses reflect the latest industry developments, regulatory updates and best practices. Access the most up-to-date knowledge and practical insights to prepare yourself, your team and your organisation for real-world challenges.

Enhance your brand at the industry's most credible event

Experience unparalleled opportunities at Risk Live Europe. Connect with senior decision-makers and leading risk professionals, engage in enriching discussions, and drive lead generation. Join us to expand your network, establish thought leadership, and foster strategic partnerships.

Spanning six content-driven stages, Risk Live Europe offers a comprehensive view of the risk management landscape. Our audience tackles challenges such as digital transformation, data management, cyber threats, regulatory changes, and AI integration. Showcase your solutions to empower them in overcoming these hurdles.

Download the sponsorship pack

Connect with senior risk professionals

Our engaged attendees, senior decision-makers, come from diverse financial institutions, such as banks, asset managers, insurers, and regulators.

Increase brand visibility

Unparalleled networking with potential clients. Elevate your brand visibility online, in marketing materials, and during live sessions. Leverage Risk.net’s event app for seamless networking and collaboration opportunities.

Participate in enriching discussions

Sponsors can showcase their expertise and thought leadership on key industry topics through speaking opportunities and targeted content.

High return on investment

Our sponsorship packages offer maximum value for your investment, with a range of benefits tailored to meet your specific needs and objectives.

800

delegates

60

sessions

150

speakers

6

stages

Industry breakdown
Seniority breakdown