Lianna Brinded sends us a special report from Hong Kong and Singapore, after speaking to several leaders from the energy and commodities market about risk management
New directions in infrastructure
This three-part series looks at the various factors that firms across the ecosystem of global FX markets - from the buy-side, the sell-side, and the supporting community of technology vendors and service providers - should consider in order to, not just survive, but to thrive in this dynamic and ever-changing environment.
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French banks fined for collusion in setting processing fees
Reduction in risk appetite and regulatory crackdown causing increase in long-dated skew, say equity derivatives dealers
The US EPA continues hydraulic fracturing investigation but experts predict negligible effect on near-term natural gas prices
French bank BNP Paribas has reshuffled its global equity and commodity derivatives (GECD) business units and says there are no job losses
Charles Goodhart, Sir John Gieve and Paul Mortimer-Lee say regulation is best housed within the central bank but warn challenges remain
BNP Paribas is offering market-linked certificates of deposit to US retail investors for the first time through subsidiary Bank of the West
David Arnold joins Standard Chartered in Singapore from BNP Paribas in Hong Kong.
Nigeria’s crude oil production is on the up, after geopolitical stability hints at consistent growth, says the NNPC
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.