The visa pleasers
Tackling the tail
The online Certificate in Quantitative Finance program provides risk professionals with quant finance tools applicable to their roles, and now offers risk management electives. Download the CQF brochure.
More China articles
Lieven Debruyne, chief executive of Schroder Investment Management (Hong Kong), is eyeing up opportunities in the dim sum bond market
Four Asian banks are among the FSB's initial list of global systemically important financial institutions, including three from Japan and one from China
The role of a chief risk officer (CRO) is becoming increasingly relevant at institutions in Asia – sometimes creating friction with the CFO. And Chinese CROs face additional challenges, according ...
Chinese banking watchdog director-general Luo Ping says China should continue with its conservative regulatory approach, which insulated it against the worst effects of the global financial crisis
The Asia-Pacific region has accounted for 54% of all new global wealth creation since 2010 and emerging markets are set to drive global wealth creation during the next five years, according to Credi...
Chinese renminbi looks poised for reserve status, but still no consensus on when it will happen due to forces beyond "anyone's control", senior academic tells FX Week Asia conference in Singapore
New research provides evidence that a relationship exists between the demand for oil from China and India and Brent crude prices
SEC charges former UCB executives with failing to disclose losses that led to the bank crashing in 2009
Tapping the power of forex
Société Générale Corporate & Investment Banking (SG CIB) wins our Deal of the Year, Asia award for a wind-farm financing transaction that takes the first step in connecting China's capital-hungry...
Structurers seek ways to tap Chinese growth as equities suffer
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.