2024 Corporate Risk Management Outlook

This paper aims to provide CFOs, Finance Directors and corporate risk managers with the necessary insight and tactical considerations across FX, rates, commodity, credit and equity markets not just to protect their businesses in 2024, but also take advantage of potentially favourable market developments.

The whitepaper is structured into three sections:

  • Navigating the macro-economic transition
  • Managing geopolitical risks
  • Repositioning for medium-term growth

Please note there are three versions of the whitepaper, each targeted to a specific region: EMEA, APAC, and the Americas. Do not hesitate to contact your BNP Paribas Coverage or Global Markets representative to discuss further.