Skip to content
Youtube
Linkedin
Search text
Login
Read
Read our most recent research publications
Top Topics
Climate Change
Macroeconomic Risk
Financial Risk
Sustainable Finance
View All
Content
Articles
Reports
View All
Featured Publication
Energy-Intensive Infrastructure in the Age of AI: A Risk-Smart Framework for Financial Institutions
Read More
Artificial Intelligence
,
Financial Risks
,
Technology Innovations
Attend
Find out what events are coming up
Upcoming Events
Canada’s Productivity Challenge and the Fiscal Path to Recovery
January 27, 2026
2026 Housing Market Outlook: Finding Equilibrium in a Cooling Economy
February 11, 2026
Cat Bonds as a New Frontier for Climate Risk Management
February 18, 2026
View All
Featured Event
Macroeconomic Policy Webinar Series 2026
Read More
Watch
View past webinars & videos
Latest Videos
State of the Canadian Economy: Another Brick in the Debt Wall?
January 15, 2026
Bond Yields, Pension Funds and the Art of De-risking
November 19, 2025
GRI Summit 2025
Building Trust within a Rapidly Evolving Landscape
Members-only event, by invitation event September 17
September 17, 2025
View All
Featured Webinar
January 15, 2026
State of the Canadian Economy: Another Brick in the Debt Wall?
Read More
Macroeconomic Risks
About
About GRI
GRI Team
GRI Board of Directors
GRI Executives in Residence
GRI Business Strategy Committee
GRI Sustainable Finance Advisory Committee
GRI Research Advisory Committee
Education
Board Risk Oversight and Insight Program (BROIP)
Emerging Leaders Program (ELP)
riskLIT
Careers
Membership
Annual Reports
Resources
News
Content Tagged With:
ERM
Risk Management
31 May 2021
COVID-19 Triggers Great Nonfinancial Risk Crisis: Nonfinancial risk management best practices in Canada
Read More
Risk Management
1 May 2019
Enterprise Risk Management Benchmarking Study: A Focus on Financial Institutions
Read More
Risk Management
8 March 2018
What Makes a Good Risk Manager?
Read More
Risk Management
,
Operational Resilience
6 September 2017
Bail-ins and Bail-outs: Incentives, Connectivity, and Systemic Stability
Read More
Risk Management
19 April 2017
Shadow Banking: Non-bank Credit Intermediation Heightens Risks for the Global Financial System
Read More
Risk Management
11 August 2016
Not Too Big to Fail! Lessons from Global Financial Crisis of 2008
Read More