Rankings
Risk magazine would like to invite you to participate in the 2010 Nordic Risk Rankings. The ranking is divided into six categories: interest rate, currency, equity, credit, commodities and structured...
This year’s OR&R software survey shows that not only is operational risk management expanding way beyond its initial remit, but governance, risk and compliance is also establishing itself as a firm favourite...
GFI has been voted best overall credit broker in Credit magazine’s inaugural IDB survey, winning plaudits for its strength across markets, liquidity provision and durability. Tullett Prebon also performed...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Rankings articles
Price is still the most important factor for corporates when choosing which dealer to trade with. However, a wide divergence in pricing among banks means transparency is now a key issue. By Matt Cameron, with additional research by Alexander Campbell,...
The Risk España rankings have a new winner – and new faces throughout. While foreign players returned to Spain’s recovering derivatives market this year, the elite banks managed to increase their share of the votes, but the middle order has been...
Credit magazine is conducting a survey to find out which are the best inter-dealer brokers. And we need YOUR help to conduct the survey. Please click here to vote; the survey should take no more than four or five minutes to complete. As an extra...
The 2010 Risk/Energy Risk commodity rankings reveal which companies have been able to prosper despite the difficult conditions of 2009. Lianna Brinded analyses the results and talks to key market participants about their views
HSBC topped the precious metals categories of this year’s commodity rankings, swapping places with runner-up and last year’s winner UBS in a gold-dominated 12 months. Société Générale maintained its dominance in base metals, while Goldman Sachs...
Goldman Sachs has reclaimed the top spot as best overall energy dealer, in the Energy Risk/Risk commodity rankings 2010, relieving Morgan Stanley of its two-year reign at number one.
Interdealer brokers showed their mettle during the worst periods of the financial crisis, but have subsequently been rewarded by thin margins and low volumes across asset classes in the past six months.
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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