Corporate Risk
Oliver Wyman’s Corporate Risk practice works closely with leading organizations to effectively manage risk, enabling them to make risk-adjusted strategy, investment and capital allocation decisions that improve performance and optimize value creation.
Our core themes
Our practice is centered around four core themes geared to helping management focus on critical risks and integrate risk management into critical decision-making processes:
- Risk Analytics: Understanding an organization's risk exposure across the value chain through robust quantitative and qualitative analysis
- Trading & Treasury Strategy: Providing strategic advice to organizations to optimally trade or take positions in financial market and commodity risks in accordance with their risk appetite
- Enterprise Risk Management: Defining a sustainable framework to identify, prioritize and manage risks and opportunities, and aligning governance, process, and infrastructure
- Portfolio Management: Enhancing decision making by combining organizational risk profiles with capital allocation and strategic planning to ensure optimal risk and reward tradeoffs across the corporate portfolio
Experience
Our Corporate Risk engagements include:



