Bnp paribas
Andrew Tjaardstra reviews the major mandates from asset managers, pension funds, insurers and banks during the year 2011
The beginning of 2012 has seen a steady stream of announcements for mandates from a diverse range of areas
All the spring moves in the global securities services industry
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 Bnp paribas articles
Rating agency downgrades are expected to affect the way institutional buyers of structured products in Europe do business, say bankers. At the crux of the changes are rating agency decisions that affect the way foreign subsidiaries of banks are rated,...
The regulatory changes set to affect the institutional space have made capital protection increasingly popular among insurance companies and pension funds. Gilles Guerin and Denis Panel at Theam tell Sarah Nowakowska about the importance of providing...
Index providers and fund managers are seeing demand from investors for strategy indexes that focus on risk, as returns on risk-free assets fall far below historical norms. Magda Ali reports
Ongoing uncertainty in global equity markets coupled with regulatory pressures have been at the heart of many UK distributors’ concerns, but Meteor managing director Graham Devile expects the implementation of the Retail Distribution Review to boost...
Seeking performance while at the same time increasingly needing to control risk makes smart beta thematic index approaches such as low volatility, minimum variance and risk-weighted strategies increasingly appealing to institutional investors allocating...
A combination of market and regulatory pressures is forcing European banks to deleverage their balance sheets and offload some of their asset portfolios, creating a potential opportunity for Asian financial institutions. But do they want to take it?
A roundup of job moves in banks, regulators, investors and vendors in the Asia region
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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