Barclays capital
Published online only
Dealers will have to change the way they approach long-dated derivatives business, says Barclays Capital’s Jerry del Missier
Published online only
The long-promised revival in Europe's high-yield bond market has sent ETF providers rushing to create fixed-income investments that fit the bill
Original headline:
Rock bottom interest rates in a difficult macro environment and the prospect of upcoming regulations have led to a need for banks to focus on products optimised around constraints. As the mood remains...
Find the information you need in articles from across Risk.net on Basel III, the Dodd-Frank Act, and Solvency II.
More Barclays capital articles
Original headline:
Arnaud Sarfati is expected to leave SG CIB; John Tessar joins JVB Financial; Levy and Mutin say goodbye to UBS; Deborah Fuhr no longer headed to Bank of America Merrill Lynch; Whitehead heads commodities at SG CIB; Nomura bolsters Asia-Pacific equities...
Original headline:
Dow Jones Indexes and UBS have launched a commodities index that measures diversified exposure to longer-dated commodity futures contracts spread across the commodity price curve. The Dow Jones-UBS Commodity Index 2-4-6 Forward Blend is composed of futures...
Original headline:
In an environment of uncertainty for both prices and regulations, Société Générale retains pole position in base metals, while UBS takes first place in precious metals. By Peter Madigan
Published online only
Sovereign risk in Europe has taken on a whole new meaning since the onset of the eurozone crisis, so ETF providers are having to adapt
Published online only
Low interest rates mean market participants expect the trend for hybrid structures to continue this year, boosted by demand for yield pick-up and diversification
Original headline:
Leading names in the structured products community discuss funding issues and offer their predictions for the coming year. Richard Jory asks the questions
Original headline:
Flows into volatility-based structured products and exchange-traded funds have been greatest in the US, though even European investors have tended to use the Vix index to access volatility. But higher volatility in Europe, coupled with an increase in...
Make sure you don't miss a day of Risk.net's essential content. Refresh your password today online!
Related conferences
South Africa, 28th - 2nd Mar 2012
USA, 20th - 23rd Mar 2012
UK, 20th - 23rd Mar 2012
Russia, 25th Apr 2012
Russia, 25th Apr 2012
Related training
USA, 26th Oct 2012
UK, 15th - 17th Feb 2012
UK, 16th - 17th Feb 2012
USA, 23rd - 24th Feb 2012
UK, 23rd - 24th Feb 2012
Updating your subscription status
Email alerts
Weekly poll
Technology white papers
Related Jobs