Our Strategic Risk Outlook 2015 describes what we believe are the current and main drivers of risk to fair, efficient and transparent financial markets.
Based on our identified drivers of risk, we have determined seven strategic priorities that will guide our operations over the next three years. Our goal is to raise trust and confidence in our financial markets, which we believe will deliver better outcomes for investors, businesses and our economy as a whole.
Read the full report here
For more information on our seven key areas of focus visit the strategic priorities section of our website.