Similar sized deal involving Asia names set to follow
Increasing interdependency and opacity of technology systems poses major risk
Increased capital charges for equity and credit spread risk are fine
This three-part series looks at the various factors that firms across the ecosystem of global FX markets - from the buy-side, the sell-side, and the supporting community of technology vendors and service providers - should consider in order to, not just survive, but to thrive in this dynamic and ever-changing environment.
More Aaron Woolner articles
Corporate bond and commodity derivative sectors are the prize
Job changes in the derivatives, regulation and risk industry throughout Asia
Market divided over whether long-only mangers can access China via the initiative
China A50 futures and ETF inflows rise following HK Shanghai stock connect
Regulatory initiatives welcomed by Australian financial services industry
Developed-economy central banks still wary of renminbi inconvertibility
Relaxation of Chinese currency controls key to Asia development
Regional KYC requirements adding to global regulatory burden
As global markets focus on Japan, China and India are set for upswing
So joins from Enhanced Investment Products, where he was beta product head
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.