Barclays
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...
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...
During 2012, markets have not seen the wild volatility of recent years, but these stomach-churning switchbacks have been replaced with something that is arguably tougher for dealers to handle – a drop...
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.
More Barclays articles
A roundup of the latest hiring and firing in Asia’s derivatives and capital markets
Latest in series of fixed income moves at Nomura as Cottle joins to head up European fixed income; new Barclays chief executive is retail banker; UBS creates CRO job for Asia-Pacific investment banking; new fixed income and credit heads for the Americas...
Tyrie calls for more action on tax schemes
In an environment where investors can earn healthy returns on deposits, Australia’s boutique investment manager Instreet Investment is focusing on geared and growth products to attract an audience. Vita Millers talks to George Lucas, Instreet’s Sydney-based...
Banks in Asia are increasingly relying on the pricing and execution power of their electronic platforms to keep their structured products operations competitive. But as more strive towards the low costs and seamless processes that platforms can offer,...
Coutts captures Hunt for derivatives; Vallon joins Source in Switzerland; Mirae names Atkinson head of ETF sales; Société Générale loses Yu; Patterson replaces Lagopoulos at RBC Wealth Management
Banks reduce cross-border funding of peripheral eurozone assets in an attempt to mitigate redenomination risk - but funding gap still tops £10 billion for Spain
Technology can provide a competitive advantage in banking. How it is applied by Tier 1 and Tier 2 institutions, to the benefit for their risk management systems, is discussed.
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