2014 EMEA Financial Institutions Industry Report
The disruption to financial markets has demonstrated that managing risk is key to achieving or maintaining growth and profitability in an environment with more regulation, unprecedented economic downturn, sustained low interest rates and tightening capital requirements. As the industry contends with increasingly complex challenges and new emerging risks, Aon’s 2014 EMEA Financial Institutions Industry Report provides comprehensive industry analysis to help financial institutions in proactively managing risk.
The report offers insight into three key areas: risk priorities, the insurance market and risk management. Highlighting differences between EMEA and global trends, the report identifies the key areas of concern to EMEA-based financial institutions.
The report is based on Aon’s Global Risk Management Survey and its Global Risk Insight Platform (GRIP), proprietary Aon data and analytics systems that deliver deep insight based on the collective opinion of risk professionals and insurance placements across the globe.
Access the 2014 EMEA Financial Institutions Industry Report
Last updated 10 December 2014
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