Module overview
This module explores traditional financial risk management and bank regulation in the context of an increasingly AI-driven and digitally enabled financial system. It covers core tools for measuring and managing market, credit and interest risk, then examines how AI and other data-driven models reshape risk transmission, shift risks to new players and can accelerate episodes of market stress. The module highlights how these developments both challenge and enhance existing risk frameworks and regulation, and shows how financial risk management must adapt to contemporary risks and opportunities created by AI and digital finance.