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Macro Volatility & the New Risk Stack

Macro Volatility & the New Risk Stack

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Macroeconomic volatility, from regulatory shocks, to geopolitical fragmentation, and rising credit stress, is compressing margins, fast.

In this episode, we break down why traditional, batch-based risk tools fail under volatility, and what a modern, flexible fraud and AML platform must deliver to operate at the speed of today’s financial system.

You’ll learn

  • The 3 forces driving change

  • The architectural flaws holding teams back

  • The 5 technical pillars required to turn risk from a cost center into a margin engine.

Read the full analysis: https://www.datavisor.com/blog/how-macro-volatility-is-driving-a-shift-to-flexible-fraud-aml-platforms


DEFEND Training: https://www.datavisor.com/defend-training


00:00 Welcome

00:29 Shifting Financial Economics

01:42 The Triple Threat Explained

06:38 Traditional Fraud Stack Failures

09:35 Risk as a Margin Lever

14:34 Testing Platform Flexibility

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