Barclays capital
If someone could create a short form document of three or four pages that could alert retail investors to the proceeds and pitfalls of a structured product, then regulators could relax, investors could...
Financial institutions are committed to building out their commodities businesses in Asia, particularly their physical capabilities, despite business from structured hedging and investment products having...
• Pang Cheng Duan has joined Manulife Asset Management (Singapore), part of MFC Global Investment Management, as head of fixed income. He will oversee the company’s fixed income desk and lead the development...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Barclays capital articles
Commodities are back in favour with investors looking for diversification and absolute returns. But market conditions, coupled with the fact that most commodities remain in contango, means passive beta investments could disappoint. How are dealers structuring...
Barclays Capital launched its iPath Exchange Traded Notes (ETNs) on the London Stock Exchange (LSE) today. Nine of the 12 ETNs will provide investors with exposure to commodities, and three to volatility. The introduction of the products in the UK follows...
Barclays Capital launched exchange-traded notes (ETNs) in Europe on Tuesday, listing 12 new ETNs on the London Stock Exchange (LSE), consisting of nine commodity exchange-traded products and three notes linked to volatility indexes for equities.
Clearing houses could cause large losses for their members if they don't put limits on portfolio allocation, dealers think.
David Murphy, a former consultant, banker and regulator, has been appointed head of risk and reporting at the International Swaps and Derivatives Association in London. Murphy replaces Ed Duncan, who left Isda in December to become head of market risk...
JP Morgan’s move into liquefied natural gas (LNG) last week is indicative of growing interest and expectations for the future of the sector.
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.
Related conferences
USA, 5th Jun 2013
UK, 12th Jun 2013
Brazil, 12th Jun 2013
Brazil, 12th Jun 2013
UK, 3rd Jul 2013
Related training
Canada, 21st - 16th Oct 2013
UK, 22nd - 23rd May 2013
UK, 5th - 6th Jun 2013
UK, 5th - 6th Jun 2013
Canada, 10th - 14th Jun 2013
Updating your subscription status
Risk IPad Apps
Email alerts
Weekly poll
Related Jobs