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St James's Place has cut exposure to US stocks within its £16.4billion Polaris 4 fund as the wealth manager becomes ...
Investigators examined the comparative effectiveness of SGLT2 inhibitors and GLP-1 receptor agonists in a real-world setting.
Chief investment strategist explains why markets were unmoved by Iran conflict without subscribing to social media analysis ...
WASHINGTON – June 2, 2025 - The American Institute of Architects (AIA), in collaboration with AIA Trust is proud to announce the launch of a powerful new resource for architects facing increasing ...
Market risk is the possibility of an investor experiencing losses due to factors that affect the overall performance of the financial markets.
Latent profile analysis, using psychological (anxiety and depression) and physical (field test performance) factors, such as input variables, was employed to identify risk profiles. Covariate analysis ...
Linking genes to disease risk is nothing new – genetic testing can reveal a person’s risk of heart disease or cancer, for example.
The conditions: personal meaning index and life attitude balance in the control group achieved significantly higher values compared to all other groups. Conclusion: People with depressive symptoms, ...
A risk management framework allows a company to identify risks, as well as measure, report on, and set systems in place to manage and limit those risks.
he energy sector is experiencing a profound transformation as renewable energy increasingly becomes the preferred choice for power generation. While promising from an environmental standpoint, this ...
In addition, patients with prediabetes show heterogeneity in risk factor profile and vary significantly in the risk of future adverse cardiovascular risk. The optimal definition and risk ...