BNP Paribas sees surge in demand for forex volatility structures
This white paper looks at the heavy impact of regulation on investment managers, the mitigation of outsourcing risk, inefficiencies in corporate actions processing and the growing importance of collateral management.
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BNP Paribas says the current focus on global macro factors means now is the time to get back into stock selection and European equities
Capturing credit correlation between counterparty and underlying
Belgian investors place microscope on issuers
BNP Paribas’s innovative hedging deal for Kosmos Energy
BNP Paribas has announced financial results for 2010 that reflect some success in the provision of tailormade structured products to institutional investors.
Get back into risky assets this year, says BNP Paribas
Emerging markets: braced for the end of the party?
Risk vs reward
Weakness in Europe's banks will cause the region's credit markets to lag the US in the coming months, according to BNP Paribas' global head of credit research and strategy, Robert McAdie.
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.