Bank admits to system and control failings over £17bn in client assets
Fixed returns can rise if the index goes above the fixed-return level
Banks have often stepped in and out of the OTC energy derivatives market. In this article from August 2001, Energy Risk reports on banks upping their activity
The online Certificate in Quantitative Finance program provides risk professionals with quant finance tools applicable to their roles, and now offers risk management electives. Download the CQF brochure.
More Barclays Capital articles
Global commodity markets could be signalling a severe downturn as indexes tracking the sector show the sharpest falls since late 2008
The Retail Distribution Review is already having an impact on structured products in the UK if new products launched this month are anything to go by
Retail Distribution Review forcing structurers and distributors to consider greater use of online platforms for trading structured products
Benchmarks and base rates
Photo gallery: Structured Products Americas Awards 2012
As the regulatory environment gets tougher for UK retail banks, some industry figures warn of an exodus of IFAs from the retail market in order to target high-net-worth investors
iShares is offering a play on uncertainty in the eurozone with the launch of eight ETFs that offer exposure to the sovereign debt of individual eurozone members
Third-generation, dynamic commodity strategies are on the rise as increasingly sophisticated investors seek to capitalise on fast-changing trends in commodities
Push, ping or hub
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.