About us
About Asia Risk magazine
Asia Risk is the only publication dedicated to meeting the information needs of risk management and derivatives professionals in the Asia-Pacific region. We publish 11 issues a year so that you can keep up with everything that's happening in Asian derivatives at the moment each month.
“When you run your own firm, you only buy things that add real value. Asia Risk is one of the few publications that meets that standard” - Bart Broadman, Managing Director of Singapore-based hedge fund Alphadyne and former Asia vice-chairman at JP Morgan
“An invaluable journal which ensures that I remain in touch with key market trends and technical issues in the Asia Pacific Risk Management business” - John McCormick, Chief Executive, RBS Global Banking and Markets
Asia is different. The sheer number of regulatory regimes, currencies and levels of market sophistication make Asian derivatives markets some of the most challenging in the world. Asia Risk is a unique publication for a unique market. It is an essential read for professionals across the entire buy-to-sell side spectrum.
About Risk magazine
Risk was launched in 1987, and has mirrored the phenomenal growth of the risk management and OTC derivatives markets to become a powerful international brand that dominates its sector. Every month Risk covers the latest developments in exchange-traded and OTC products, regulatory and documentation issues, academic papers, practical trading and investment strategies - taking complex material and delivering it in an easily digestible style.
Risk combines a scholarly approach with cutting-edge news reporting and market analysis, and its international team of journalists regularly uncover stories that other business magazines and newspapers miss. New products and pricing models are often discussed in Risk's unique technical papers section well before they become accepted in the financial markets.
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