Central banks
Andrew Haldane says UK is in a position to lead with fixes to Basel III, tightening remuneration policies and removing barriers to bank account switching
Jaime Caruana says low interest rates have created a ‘first-mover disadvantage’ that prevents rates rising and could fuel financial instability
This paper examines the effects of introducing an auto-collateralization scheme in a simulated securities settlement system. Using artificially generated data, it shows that auto-collateralization can...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Central banks articles
The recent financial crisis has shown that liquidity risk is far more important and intricate than regulators had previously acknowledged. The shift from bank-based to market-based financial systems and from deferred net settlement systems to liquidity-demanding...
This paper establishes a link between investment in financial market infrastructure and its governance structure as either a user-oriented or a for-profit organization. The infrastructure is used to ensure that capital can be allocated through financial...
The global financial crisis has driven several trends in wholesale financial markets that have led to a higher demand for high-quality collateral. More transactions are now secured instead of unsecured on the money market, and, in overthe-counter derivatives...
The Reserve Bank of New Zealand’s policy targets agreement will come into effect on the same day Graeme Wheeler takes over as governor; document includes "stronger focus" on financial stability
Central banks in Asia are diversifying their holdings into RMB, marking the latest stage in the currency’s internationalisation
Economic Consultative Committee announces examination of reference rates used in financial markets
Some argue that debt mutualisation across the eurozone is the answer to the current crisis, pointing to the US experience for support. This represents a very selective reading of history, argues David Rowe
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
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