Libor Risk Publication’s new publication

First published in November 2019, this quarterly magazine supplement will deliver the inside track on regulatory, market and product developments, explore the implications and emerging risks for market participants, and reveal the strategies, tricks and tools helping firms to tackle the transition.

The Libor Debate

At the heart of each issue will be an industry roundtable focusing on a key aspect of the Libor debate, from liquidity and contracts to valuation and modelling. The key questions we will be asking include:

  • Is there sufficient liquidity in risk-free rates products and how can it be improved?

  • Does more need to be done to co-ordinate transition across asset classes?

  • Will the industry be able to build consensus on fallback language?

  • How will Libor’s demise affect the validity of financial models?

  • How are firms tackling the operational challenges of transition?

Libor Risk will be distributed with Risk magazine, published online at and made available at our related conferences and events.