Barclays
Energy Risk catches up with the latest appointments, promotions and departures in global commodity markets
Amundi offers currency hedged Japan equity fund; iShares offers physical corporate bond exposure; Ossiam adds to minimum variance; State Street brings S&P low vol ETF to Europe
UBS to chop Sfr90 billion from investment bank RWAs as it refocuses on capital-light businesses; Ivan Ritossa to leave Barclays - Bommensath steps up; Loh Boon Chye lands top Asia-Pacific markets role...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
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In a year of scandals involving Libor, mis-selling and money-laundering in acquired institutions, the banking sector remains under the spotlight. Luc Vanneste of Scotiabank talks to Jessica Meek about the importance of maintaining a strong internal culture...
Ability to choose eligible collateral within CSAs means unique prices for the most vanilla derivatives could become a thing of the past, says Vladimir Piterbarg
ETF trading surges in September; iShares more positive on UK equities; IFAs preferring income products; China's luxury good market set for shake-up
CFTC's Chilton says a complete overhaul of Libor is needed - including distancing it from the BBA
Complaints to the UK Financial Services Authority (FSA) in 2011 reached a near-record high of 4.1 million – with insurance products, particularly the infamous payment protection insurance (PPI) sector, again responsible for much of the rise
Japan’s decision last week to remove nuclear energy from the country’s fuel mix by 2040, is set to significantly increase the country’s short-term demand for fossil fuels, especially liquefied natural gas, say analysts
Barclays has had to cope with an increasingly risk-averse investor base within the context of historically low yields, but by emphasising simplicity and transparency, the bank has stormed ahead with its offering of innovative products this year. An...
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.
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