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Industries

Six sectors, one control set

A sector pack is an overlay, not a separate product. It adds the regulation, the loss scenarios, the indicators and the control emphasis a sector needs — on top of the same platform and the same market packs.

Financial services

Banks, insurers, payments and capital markets

Energy, oil and gas

Upstream, downstream, utilities and the OT estate

Government and sovereign

Ministries, sovereign funds and portfolio companies

Healthcare

Providers, payers and connected clinical technology

Telecommunications and technology

Operators, data centres and digital platforms

Aviation, transport and logistics

Airlines, airports, ports and freight

How a sector pack is built

Sector plus jurisdiction. A Saudi bank needs both, and neither on its own is enough.

  • Sector regulation. The supervisory requirements that apply because of what you do, added to the market pack that applies because of where you are.
  • Loss scenarios. Severe but plausible scenarios specific to the sector, with FAIR parameters and calibration guidance so they can be quantified rather than listed.
  • Control emphasis. The same control library, with depth and testing frequency weighted toward what actually fails in that sector.
  • Indicators. Key risk and control indicator definitions a board in this sector will recognise.
  • Asset and supplier patterns. Typical asset classes, criticality models and supplier categories, so the masters start populated rather than empty.
  • Awareness content. Simulation and training scenarios set in the sector's own working context.

Sector packs in the Global Libraries

If your sector is not listed

These six are where we hold the deepest content and the most delivery history. Real estate, hospitality, retail, education, professional services and manufacturing all run on the same platform and the same market packs, with a lighter sector overlay built during implementation.

We would rather say that plainly than publish a page implying depth we do not have.

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