Asia
Insurers are tapping the Asia market to raise capital, with innovatively structured instruments. Investor appetite for this debt has enabled insurers to move from classical issuance structures to perpetual...
The risk of exposure and counterparty default probability both increasing – so-called wrong-way risk – is usually understood in terms of the correlation between the two variables. But this approach...
The move by European authorities to exempt European banks from holding CVA capital should be matched by regulators in Asia, according to senior bankers in the region
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.
More Asia articles
After the prolonged period of uncertainty that followed in the wake of the financial crisis - particularly the damage inflicted by Lehman Brothers' late and ill-fated entry into the world of retail structured products - the headlines are at last starting...
Prescriptions within Emir and Dodd-Frank over the use of third-country clearing houses could drive European and US players out of Asia derivative markets – with a potentially negative impact on liquidity
Japan’s over-the-counter derivatives clearing house will soon allow member banks to offer client clearing and it also plans to merge with another domestic clearing house, according to a senior official.
Banks issued debt before the end-of-2012 deadline for Basel II capital, lessening their refinancing requirements for this year
Asic less concerned with high-frequency trading but is clamping down on dark pool operators
Asian financial markets have made progress in setting up CCPs and trade repositories, but greater harmonisation is needed across borders, Singaporean regulator warns
Addressing ACI Congress delegates, deputy prime minister and chairman of the Monetary Authority of Singapore talks up Singapore's ability to facilitate the growth of renminbi trading outside China
Technology can provide a competitive advantage in banking. How it is applied by Tier 1 and Tier 2 institutions, to the benefit for their risk management systems, is discussed.
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