Best of RPI and CPI exposure will cost up to 100 basis points to hedge, as well as increase the size of liabilities, say participants
Richard Wolff will head French bank's US debt capital markets syndicate.
This webinar on September 17th looks at the challenges of GRC, key trends, motives for improvement, future investments, and obstacles that banks and other financial institutions face in trying to improve and integrate their risk management strategy
More Barclays capital articles
JP Morgan and Gunvor completed the first European Union 2020 over-the-counter European Union Allowance carbon contract on August 6, signalling their confidence in the European carbon markets
BP’s Gulf of Mexico oil spill will tighten global oil supply as US oil production is set to wane, following expectations the disaster will lead to stricter regulation and closer scrutiny of drilli...
Barclays Capital senior economist praises dynamic provisioning approach to loan losses
After leaving Barclays Capital last Friday, Dixit Joshi, formerly head of equities for Emea and Asia-Pacific at the UK bank has joined Deutsche Bank in a similar role
Former corporate adviser will join from JP Morgan in October
Regulation from the US and EU will impact on hedge funds. Barclays Capital has plans to leverage its acquisition of Lehman’s North American prime brokerage business. Ucits hedge funds explained
Asian exporters and importers are waiting to see more investment and hedging instruments for offshore renminbi before adopting the currency for trading
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.