Overview
Launched in May 2001, GARP Risk Review is the flagship magazine of the Global Association of Risk Professionals (GARP).
Published on a bimonthly basis, the Risk Review supplies its readers with insightful, thought-provoking coverage of the trends, strategies and best practices affecting financial risk management. The magazine also offers GARP members a platform for sharing innovative ideas about the latest models and techniques firms are using to measure, control and mitigate credit risk, operational risk and market risk.
Buoyed by a stable of well-informed, sagacious authors, the Risk Review provides in-depth analyses of key risk management topics, including enterprise risk management, credit derivatives, asset liability management, hedge funds, energy risk, financial accounting and regulatory risk. What's more, it also regularly conducts Q&As with industry leaders, critiques books and tracks the career moves of high-profile risk executives.
Our members really enjoy the Risk Review, as evidenced by the 2007 Readership Survey. 85% of our readers think it is good/excellent overall and 65% feel that the Risk Review is better, if not significantly better, than other risk management publications.
In addition to distinguishing itself via its provocative risk management coverage, GRR separates itself from the pack through its editorial board. The board, which serves as the eyes and ears of GARP, is comprised of well-respected risk management practitioners, academics and regulators from across the world. The board furnishes GRR's staff with insights and suggestions that serve as the springboard for compelling articles that reflect the interests of GARP's members.
GARP Risk Review Board Members
Dr. Peter Tufano
The Sylvan C. Coleman Professor of Financial Management, Harvard Business School
Aaron Brown
Risk Manager, AQR Capital Management
Tim Davies
Director of Risk, Lloyds TSB Bank
Mike Gorham
Director, IIT Center for Financial Markets, Stuart Graduate School of Business
David Lee
Global Head of Risk Control,
UBS Global Asset Management
Peter Manning
Chief Risk Officer, VTB Bank Europe
Professor Robert Merton
John & Nattie McArthur University Professor, Harvard Business School
Dr. Joe Pimbley
Executive Vice President and Head of Institutional Risk, ACA Capital
Riccardo Rebonato
Global Head of Market Risk, CBFM, and Global Head of Research, FM, RBS
David Rowe
Group EVP Risk Management, SunGard Trading & Risk Systems
Peruvemba Satish
Chief Risk Officer, DKR Capital
David Shimko
President, Risk Capital Management Partners
Victor Yan
Head, Interest Rate Derivatives
Global Markets Risk, Standard Chartered Bank
Letters to the Editor
Do you have an opinion or a comment about a story you read in a recent issue of the Risk Review? If so, we’d like to hear from you. Please send your feedback to Editor-in-Chief - Robert Sales at robert.sales@garp.com
We’ll publish the most interesting letters in the magazine.
Distribution
The Risk Review is distributed to all Individual, Fellow and Student members. Additional issues are distributed at GARP and other industry events and educational forums. These include the annual Convention, the Asian Pacific Convention, GARP training courses and chapter meetings planned throughout the year for each of GARP's many local chapters around the world.
Advertising
Interested in reaching some of the top financial risk professionals from around the world? Then advertise in the Risk Review. Click here for more information and to request our media kit.