A global perspective
Q&A: Arif Husain, AllianceBernstein
Laurent Crosnier, chief investment officer at asset manager Amundi in London, looks to emerging market corporates for returns.
This white paper looks at the heavy impact of regulation on investment managers, the mitigation of outsourcing risk, inefficiencies in corporate actions processing and the growing importance of collateral management.
More Alex Monro articles
While dollar's status as reserve currency makes imminent downgrade unlikely, that may change if US government fails to implement credible debt reduction plan, says lead sovereign analyst at Moody's.
Attack of the zombies
Swimming with the black swans
Senior investors at Pimco, BlackRock, State Street, AllianceBernstein and Investec give their views on how the Eurozone crisis might play out in 2011.
The EU faces a tricky 2011 as it navigates excessive debt, but needs to address solvency issues rather than liquidity, says Pimco's CEO Mohamed El-Erian.
Weakness in Europe's banks will cause the region's credit markets to lag the US in the coming months, according to BNP Paribas' global head of credit research and strategy, Robert McAdie.
Eurozone faces stunning economic and financial challenges, says Julian Callow, chief European economist at Barclays Capital.
Risk of debtor-nation
Q&A: Ian Bremmer, Eurasia Group
Emerging markets: Hot or not?
Contagion spreads: The Ireland effect
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.