Our Regulatory & Risk Management Indicator is a unique industry metric that combines our leading proprietary regulatory data and analysis with direct input from leading organizations within the financial services industry on their top compliance and risk management concerns.
Our Indicator provides a transparent and holistic measurement of the ongoing and emerging regulatory and risk management pressures business leaders face in today's volatile and rapidly changing marketplace.
2020 Indicator Report
The results of the eighth annual Regulatory and Risk Management Indicator survey for the U.S. shows a Main Indicator Score of 103, representing an eight-point increase in the anxiety levels of U.S. banks and credit unions in managing their risk and regulatory compliance obligations as compared to the 2019 survey results. Overall scores reflect a relatively high level of continuing concerns around risk and regulatory issues that demand close attention. Read the full press release published in December 2020 "Wolters Kluwer’s Annual Indicator Survey shows significant risk, compliance concerns for U.S. lenders."
Wolters Kluwer’s Regulatory & Risk Management Indicator measures 10 critical factors that help illustrate the overall level of regulatory and risk management pressures that U.S. banks and credit unions face.