Job changes in the derivatives, regulation and risk industry throughout Asia
International banks across Asia are facing increasing pressure to form subsidiaries in individual jurisdictions from both home and host regulators. What are their options?
Holding minority stakes in other banks is capitally onerous under Basel III but with a majority of states in the region capping foreign ownership, mergers and acquisitions across Asia are facing serious...
Risk would like to invite you to join us on 14 April 2014 at 10am EST / 3pm GMT for our next FREE webinar. Joining the panel discussion will be: Moderator: Duncan Wood, Editor, RISK. Athanassios Diplas, Senior Advisor, ISDA. Barry Hadingham, Head of Derivatives and Counterparty Risk, AVIVA INVESTORS. Neil Murphy, Director, Collateral Product Management, IBM RISK ANALYTICS. Click to register.
More Asia articles
Giving regulators access to an accurate picture of the derivatives activity taking place in their markets is a key aim of the move to central clearing – but there are several unresolved issues in setting up the trade reporting architecture across Asia,...
China’s interbank lending market recently came under the spotlight for all the wrong reasons. Simon Page, chief risk officer for Bank of China Fullerton, tells Asia Risk that firms must monitor liquidity risk management to succeed in the Middle Kingdom...
Foreign banks operating in China's OTC markets face punitive capital charges
While the demands placed on banks’ technology have changed rapidly, the choice of suppliers is less volatile. A host of regionally based players has appeared for the first time on Asia Risk’s technology rankings but the list is still dominated by...
With around a 20% share of an Asia-Pacific consumer and private banking structured products market it estimates as worth US$8 billion a month, HSBC has improved its stakes in the four main markets of Hong Kong, Japan, Singapore and South Korea, taking...
The stars have aligned for Société Générale (SG) in the Asia-Pacific region over the past 12 months, with one and all finally getting to grips with the French bank's multi-asset capabilities while fears over counterparty credit risk slipped away....
Fixed-income investors are looking at structured products to enhance yield and manage duration
In response to industry fears of a collateral crunch, regulators have revised the proposed rules on margining for uncleared over-the-counter (OTC) derivatives.You can find out more by downloading this white paper here.
Hong Kong, 1st - 31st Dec 2014
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Japan, 24th Apr 2014
Japan, 24th Apr 2014
USA, 30th Apr 2014