100+ datasets found
  1. Institutional investors' main risk management strategies worldwide 2020, by...

    • statista.com
    Updated Jun 30, 2025
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    Statista (2025). Institutional investors' main risk management strategies worldwide 2020, by region [Dataset]. https://www.statista.com/statistics/1229925/main-risk-management-strategies-worldwide/
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    Dataset updated
    Jun 30, 2025
    Dataset authored and provided by
    Statistahttp://statista.com/
    Time period covered
    Apr 2020
    Area covered
    Worldwide
    Description

    Diversification across asset classes and geographies was the most commonly used risk management strategy for institutional investors worldwide in 2020. This was the case in each of the region considered, with ** percent of the respondents from the Asia-Pacific region declaring to rely on this risk management strategy. Tactical or dynamic asset allocation followed, with more than **** of the respondents worldwide using this strategy to manage risk within their portfolio in 2020.

  2. s

    Risk management initiatives towards generative AI implementation worldwide...

    • statista.com
    Updated Jun 30, 2025
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    Statista (2025). Risk management initiatives towards generative AI implementation worldwide 2024 [Dataset]. https://www.statista.com/statistics/1451166/risk-management-initiatives-genai-organizations-worldwide/
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    Dataset updated
    Jun 30, 2025
    Dataset authored and provided by
    Statista
    Time period covered
    Oct 12, 2023 - Dec 5, 2023
    Area covered
    Worldwide
    Description

    Organizations worldwide claim to implement at least one initiative to manage possible risks from the implementation of generative AI (GenAI). Nearly half of the companies listed monitoring regulatory requirements and ensuring compliance, and establishing a governance framework for the use of generative AI tools and applications. Ensuring a human validates all GenAI content came in fifth, with around ** percent of the respondents.

  3. Big Data's risk management efficiency benefits UK 2015-2020, by industry

    • statista.com
    Updated Feb 22, 2016
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    Statista (2016). Big Data's risk management efficiency benefits UK 2015-2020, by industry [Dataset]. https://www.statista.com/statistics/608231/big-data-risk-management-efficiency-benefits-uk-by-industry/
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    Dataset updated
    Feb 22, 2016
    Dataset authored and provided by
    Statistahttp://statista.com/
    Time period covered
    2015
    Area covered
    United Kingdom
    Description

    This statistic displays the risk management efficiency benefits as a result of Big Data in the United Kingdom (UK) from 2015 to 2020, by industry. It was estimated that manufacturing would benefit most from improved risk management due to Big Data implementation. The professional service sector was ranked second with roughly 9.4 billion British pounds.

  4. Use of risk management arrangements by industry and size of enterprise

    • www150.statcan.gc.ca
    • open.canada.ca
    Updated Oct 21, 2024
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    Government of Canada, Statistics Canada (2024). Use of risk management arrangements by industry and size of enterprise [Dataset]. http://doi.org/10.25318/2210013001-eng
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    Dataset updated
    Oct 21, 2024
    Dataset provided by
    Statistics Canadahttps://statcan.gc.ca/en
    Area covered
    Canada
    Description

    Percentage of enterprises that use specific risk management arrangements to manage cyber security risks by the North American Industry Classification System (NAICS) and size of enterprise.

  5. Eastern Partnership Risk Analysis Quarterly Network Reports

    • data.europa.eu
    pdf
    Updated Jan 11, 2019
    + more versions
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    Frontex (2019). Eastern Partnership Risk Analysis Quarterly Network Reports [Dataset]. https://data.europa.eu/euodp/data/dataset/eastern-partnership-risk-analysis-network-quarterly-report-january-march-2018
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    pdfAvailable download formats
    Dataset updated
    Jan 11, 2019
    Authors
    Frontex
    License

    http://data.europa.eu/eli/dec/2011/833/ojhttp://data.europa.eu/eli/dec/2011/833/oj

    Description

    The Eastern Partnership Risk Analysis Network (EaP-RAN) performs monthly exchanges of statistical data and information on the most recent irregular migration trends. This information is compiled at the level of the Frontex Risk Analysis Unit (RAU) and analysed in cooperation with the regional partners on a quarterly and annual basis. The annual reports offer a more in-depth analysis of the occurring developments and phenomena which impact the regional and common borders while the quarterly reports are meant to provide regular updates and identify emerging trends in order to maintain situational awareness. Both types of reports are aimed at offering support for strategic and operational decision making.

    The Eastern Partnership Quarterly statistical overview is focused on quarterly developments for the seven key indicators of irregular migration: (1) detections of illegal border-crossing between BCPs; (2) detections of illegal border-crossing at BCPs; (3) refusals of entry; (4) detections of illegal stay; (5) asylum applications; (6) detections of facilitators; and (7) detections of fraudulent documents.

    The backbone of this overview are monthly statistics provided within the framework of the EaP-RAN (Armenia, Azerbaijan, Belarus, Georgia, Moldova and Ukraine) and reference period statistics from common border sections of the neighbouring EU Member States and Schengen Associated Countries (Norway, Finland, Estonia, Latvia, Lithuania, Poland, Slovakia, Hungary and Romania). The data are processed, checked for errors and merged into an Excel database for further analysis.

  6. 2025 Green Card Report for Statistics, Financial and Risk Management

    • myvisajobs.com
    Updated Jan 16, 2025
    + more versions
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    MyVisaJobs (2025). 2025 Green Card Report for Statistics, Financial and Risk Management [Dataset]. https://www.myvisajobs.com/reports/green-card/major/statistics,-financial-and-risk-management
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    Dataset updated
    Jan 16, 2025
    Dataset provided by
    MyVisaJobs.com
    Authors
    MyVisaJobs
    License

    https://www.myvisajobs.com/terms-of-service/https://www.myvisajobs.com/terms-of-service/

    Variables measured
    Major, Salary, Petitions Filed
    Description

    A dataset that explores Green Card sponsorship trends, salary data, and employer insights for statistics, financial and risk management in the U.S.

  7. Fifth Third Bank’s Holistic Approach to Risk Management with IBISWorld

    • ibisworld.com
    Updated Jan 13, 2025
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    IBISWorld (2025). Fifth Third Bank’s Holistic Approach to Risk Management with IBISWorld [Dataset]. https://www.ibisworld.com/blog/fifth-third-success-story/99/5642/
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    Dataset updated
    Jan 13, 2025
    Dataset authored and provided by
    IBISWorld
    Time period covered
    Jan 13, 2025
    Description

    Fifth Third Bank integrates IBISWorld’s insights to strengthen risk analysis, anticipate threats, and empower leaders with actionable data for proactive credit management.

  8. Global information security and risk management spending 2024-2028

    • statista.com
    Updated Sep 27, 2024
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    Statista (2024). Global information security and risk management spending 2024-2028 [Dataset]. https://www.statista.com/statistics/1345127/information-risk-management-security-spending-worldwide/
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    Dataset updated
    Sep 27, 2024
    Dataset authored and provided by
    Statistahttp://statista.com/
    Time period covered
    2024
    Area covered
    Worldwide
    Description

    Global spending on information security and risk management will amount to 210 billion U.S. dollars in 2024. By 2028, information security and risk management spending is forecast to exceed 310 billion U.S. dollars.

  9. Risk Management Software Market Size, Share, Growth Analysis Report By Types...

    • fnfresearch.com
    pdf
    Updated Jun 24, 2025
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    Facts and Factors (2025). Risk Management Software Market Size, Share, Growth Analysis Report By Types (Financial Risk Management Software, Enterprise Risk Management Software, Credit Risk Management Software, Quantitative Risk Management Software, Project Risk Management Software, And Others), By Deployment Models (On-Premise And Cloud), By Industry Verticals (Food & Beverage, Manufacturing, Retail, Healthcare, Transport & Logistics, Consumer Goods, And Others), By Components (Software And Services), And By Region - Global Industry Insights, Overview, Comprehensive Analysis, Trends, Statistical Research, Market Intelligence, Historical Data and Forecast 2024 – 2032 [Dataset]. https://www.fnfresearch.com/risk-management-software-market
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    pdfAvailable download formats
    Dataset updated
    Jun 24, 2025
    Dataset provided by
    Authors
    Facts and Factors
    License

    https://www.fnfresearch.com/privacy-policyhttps://www.fnfresearch.com/privacy-policy

    Time period covered
    2022 - 2030
    Area covered
    Global
    Description

    Global risk management software market size is expected to grow from USD 9.64 Bn in 2023 to USD 34.77 Bn by 2032, at a CAGR of 14.36% from 2024-2032

  10. i

    Grant Giving Statistics for Risk Management Association

    • instrumentl.com
    Updated Dec 23, 2023
    + more versions
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    (2023). Grant Giving Statistics for Risk Management Association [Dataset]. https://www.instrumentl.com/990-report/risk-management-association
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    Dataset updated
    Dec 23, 2023
    Variables measured
    Total Assets
    Description

    Financial overview and grant giving statistics of Risk Management Association

  11. Treasury And Risk Management Software Size

    • statistics.technavio.org
    Updated Feb 11, 2021
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    Technavio (2021). Treasury And Risk Management Software Size [Dataset]. https://statistics.technavio.org/treasury-and-risk-management-software-size
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    Dataset updated
    Feb 11, 2021
    Dataset provided by
    TechNavio
    Authors
    Technavio
    Time period covered
    2021 - 2025
    Area covered
    Worldwide
    Description

    Download Free Sample
    This statistic denotes the global market size across several regions including APAC, Europe, MEA, North America, and South America. The treasury and risk management software market is estimated to grow at a CAGR of 6.35% between 2022 and 2027. The size of the market is forecast to increase by USD 1,838.32 million.

    The size of the global treasury and risk management software market has been derived by triangulating data from multiple sources and approaches. While arriving at the market size, we have considered data points, such as the size of the parent market and the revenues of key market participants, such as Calypso Technology Inc., EdgeVerve Systems Ltd., Fidelity National Information Services Inc., Finastra, ION Group, Kyriba Corp., Murex SAS, SAP SE, TreasuryXpress Inc., and Wolters Kluwer NV

  12. Funding for flood and coastal erosion risk management in England

    • gov.uk
    • s3.amazonaws.com
    Updated Oct 13, 2023
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    Department for Environment, Food & Rural Affairs (2023). Funding for flood and coastal erosion risk management in England [Dataset]. https://www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england
    Explore at:
    Dataset updated
    Oct 13, 2023
    Dataset provided by
    GOV.UKhttp://gov.uk/
    Authors
    Department for Environment, Food & Rural Affairs
    Area covered
    England
    Description

    This document sets out Central Government funding for Flood and Coastal Erosion Risk Management (FCERM) in England, since financial year 2005/06.

    The document sets out the budget allocations, as well as historical expenditure on Flood and Coastal Erosion Risk Management. It also sets out other sources of funding used for FCERM.

    Following consultation with the UK Statistics Authority, this document has been updated to become an Official Statistic. This document is not a National Statistic. These statistics have been produced to the high professional standards set out in the Code of Practice for Official Statistics, which sets out eight principles including meeting user needs, impartiality and objectivity, integrity, sound methods and assured quality, frankness and accessibility.

    2020/2021

    https://webarchive.nationalarchives.gov.uk/ukgwa/20220426175537/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2020/21 (Figures and data in tables in new edition updated)

    2019/2020

    https://webarchive.nationalarchives.gov.uk/ukgwa/20210402015551/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2019/20

    2018/2019

    https://webarchive.nationalarchives.gov.uk/ukgwa/20191003040731/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2018/19

    2017/2018

    https://webarchive.nationalarchives.gov.uk/ukgwa/20181110162345/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2017/18

    2016/2017

    https://webarchive.nationalarchives.gov.uk/ukgwa/20171012112816/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2016/17

    2015/2016

    https://webarchive.nationalarchives.gov.uk/ukgwa/20161127093328/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2015/16

    2014/2015

    https://webarchive.nationalarchives.gov.uk/ukgwa/20151204173124/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2014/15 - new funding figures published following completion of the Spending Review

    2013/2014

    https://webarchive.nationalarchives.gov.uk/ukgwa/20150214081959/https:/www.gov.uk/government/statistics/funding-for-flood-and-coastal-erosion-risk-management-in-england" class="govuk-link">Funding for flood and coastal erosion risk management in England: 2005/06 to 2013/14 - updated to include new information relating to 2006 and 2007

    Defra statistics: environment

    Email FandWStatistics@defra.gov.uk

  13. i

    Grant Giving Statistics for Risk Management Association Spokane Chapter

    • instrumentl.com
    Updated Mar 7, 2022
    + more versions
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    (2022). Grant Giving Statistics for Risk Management Association Spokane Chapter [Dataset]. https://www.instrumentl.com/990-report/risk-management-association-spokane-chapter
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    Dataset updated
    Mar 7, 2022
    Area covered
    Spokane
    Variables measured
    Total Assets
    Description

    Financial overview and grant giving statistics of Risk Management Association Spokane Chapter

  14. i

    Grant Giving Statistics for Trust Practice And Risk Management Association

    • instrumentl.com
    Updated Oct 18, 2021
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    (2021). Grant Giving Statistics for Trust Practice And Risk Management Association [Dataset]. https://www.instrumentl.com/990-report/trust-practice-and-risk-management-association
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    Dataset updated
    Oct 18, 2021
    Variables measured
    Total Assets, Total Giving
    Description

    Financial overview and grant giving statistics of Trust Practice And Risk Management Association

  15. Global Construction Risk Management Market Risk Analysis 2025-2032

    • statsndata.org
    excel, pdf
    Updated May 2025
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    Stats N Data (2025). Global Construction Risk Management Market Risk Analysis 2025-2032 [Dataset]. https://www.statsndata.org/report/construction-risk-management-market-378716
    Explore at:
    pdf, excelAvailable download formats
    Dataset updated
    May 2025
    Dataset authored and provided by
    Stats N Data
    License

    https://www.statsndata.org/how-to-orderhttps://www.statsndata.org/how-to-order

    Area covered
    Global
    Description

    The Construction Risk Management market has emerged as a critical segment of the construction industry, focusing on identifying, assessing, and mitigating risks associated with building projects. As the industry continues to evolve, the importance of effective risk management is underscored by the increasing complex

  16. Global Automotive IT Risk Management Market Risk Analysis 2025-2032

    • statsndata.org
    excel, pdf
    Updated May 2025
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    Stats N Data (2025). Global Automotive IT Risk Management Market Risk Analysis 2025-2032 [Dataset]. https://www.statsndata.org/report/automotive-it-risk-management-market-378636
    Explore at:
    excel, pdfAvailable download formats
    Dataset updated
    May 2025
    Dataset authored and provided by
    Stats N Data
    License

    https://www.statsndata.org/how-to-orderhttps://www.statsndata.org/how-to-order

    Area covered
    Global
    Description

    The Automotive IT Risk Management market has become increasingly vital as the automotive industry evolves amid rapid technological advancements and increasing connectivity. As vehicles integrate more sophisticated IT systems and become part of the broader Internet of Things (IoT), the risks associated with cybersecu

  17. I

    Global Credit Risk Management Software for Banks Market Demand Forecasting...

    • statsndata.org
    excel, pdf
    Updated May 2025
    + more versions
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    Stats N Data (2025). Global Credit Risk Management Software for Banks Market Demand Forecasting 2025-2032 [Dataset]. https://www.statsndata.org/report/credit-risk-management-software-for-banks-market-147293
    Explore at:
    excel, pdfAvailable download formats
    Dataset updated
    May 2025
    Dataset authored and provided by
    Stats N Data
    License

    https://www.statsndata.org/how-to-orderhttps://www.statsndata.org/how-to-order

    Area covered
    Global
    Description

    The Credit Risk Management Software for Banks market is an integral segment of the financial technology landscape, focusing on the systematic identification, assessment, and mitigation of credit-related risks that financial institutions encounter. As banks face mounting complexities due to regulatory pressures, shif

  18. P

    AI Model Risk Management Market Size, Share, Growth | Report, 2034

    • polarismarketresearch.com
    Updated Nov 4, 2024
    + more versions
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    Polaris Market Research (2024). AI Model Risk Management Market Size, Share, Growth | Report, 2034 [Dataset]. https://www.polarismarketresearch.com/industry-analysis/ai-model-risk-management-market
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    Dataset updated
    Nov 4, 2024
    Dataset authored and provided by
    Polaris Market Research
    License

    https://www.polarismarketresearch.com/privacy-policyhttps://www.polarismarketresearch.com/privacy-policy

    Description

    The AI Model Risk Management Market estimated size and share is projected to exceed USD 19036.19 million by 2032, with a forecasted CAGR of 12.8% during the period.

  19. Thailand Sec Co: Assets: Derivatives Instrument: Risk Management

    • ceicdata.com
    Updated Feb 15, 2025
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    CEICdata.com (2025). Thailand Sec Co: Assets: Derivatives Instrument: Risk Management [Dataset]. https://www.ceicdata.com/en/thailand/securities-company-statistics/sec-co-assets-derivatives-instrument-risk-management
    Explore at:
    Dataset updated
    Feb 15, 2025
    Dataset provided by
    CEIC Data
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jun 1, 2015 - Mar 1, 2018
    Area covered
    Thailand
    Description

    Thailand Sec Co: Assets: Derivatives Instrument: Risk Management data was reported at 96.451 THB mn in Sep 2018. This records a decrease from the previous number of 125.821 THB mn for Jun 2018. Thailand Sec Co: Assets: Derivatives Instrument: Risk Management data is updated quarterly, averaging 20.638 THB mn from Mar 2011 (Median) to Sep 2018, with 31 observations. The data reached an all-time high of 132.971 THB mn in Jun 2017 and a record low of 0.000 THB mn in Sep 2011. Thailand Sec Co: Assets: Derivatives Instrument: Risk Management data remains active status in CEIC and is reported by Securities and Exchange Commission. The data is categorized under Global Database’s Thailand – Table TH.Z022: Securities Company Statistics.

  20. Risk Management, Insurance Advisory & Consulting in the US

    • ibisworld.com
    Updated Sep 15, 2024
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    IBISWorld (2024). Risk Management, Insurance Advisory & Consulting in the US [Dataset]. https://www.ibisworld.com/united-states/market-size/risk-management-insurance-advisory-consulting/4787/
    Explore at:
    Dataset updated
    Sep 15, 2024
    Dataset authored and provided by
    IBISWorld
    License

    https://www.ibisworld.com/about/termsofuse/https://www.ibisworld.com/about/termsofuse/

    Time period covered
    2005 - 2030
    Area covered
    United States
    Description

    Market Size statistics on the Risk Management, Insurance Advisory & Consulting industry in United States

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Statista (2025). Institutional investors' main risk management strategies worldwide 2020, by region [Dataset]. https://www.statista.com/statistics/1229925/main-risk-management-strategies-worldwide/
Organization logo

Institutional investors' main risk management strategies worldwide 2020, by region

Explore at:
Dataset updated
Jun 30, 2025
Dataset authored and provided by
Statistahttp://statista.com/
Time period covered
Apr 2020
Area covered
Worldwide
Description

Diversification across asset classes and geographies was the most commonly used risk management strategy for institutional investors worldwide in 2020. This was the case in each of the region considered, with ** percent of the respondents from the Asia-Pacific region declaring to rely on this risk management strategy. Tactical or dynamic asset allocation followed, with more than **** of the respondents worldwide using this strategy to manage risk within their portfolio in 2020.

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