China
An innovative partnership brings investors access to the alpha-generating capabilities of China Asset Management, the country’s leading domestic asset manager, while utilising sophisticated risk management...
The new regime to develop Brazil’s pre-salt oil reserves aims to ensure the country maintains control over its cash cow. Pauline McCallion looks at the outlook for international involvement in exploration...
Chinese corporates will now have access to onshore and offshore hedging markets
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More China articles
Net inflows into emerging markets products have skyrocketed in recent years as they have entrenched themselves in global portfolios and become the success story of the decade. But some market participants worry that their perceived growth potential might...
Chinese E&P company CNOOC has announced a $1.3 billion deal to purchase a 33.3% stake in some of US producer Chesapeake's shale assets
The growing strategic energy alliance between Russia and China could change global energy market dynamics. Alex Davis examines the possibilities, including an end to oil-indexed gas pricing
With the Asia-Pacific being the beacon for growth in the energy and commodities market, Lianna Brinded speaks to one of the International Swaps and Derivatives Association’s regional chiefs on the evolution of Asian markets and what this will mean for...
With countries such as Indonesia and the Philippines trying to increase domestic energy capacity, Alex Davis examines how both emerging nations in the Asia-Pacific rim and international banks and energy firms can iron out nascent market risks
Asia is a primary source of offset credits for European compliance buyers, but increased risks associated with the CDM market in the region are forcing risk managers to re-examine their portfolio strategies accordingly, as Katie Holliday reports
Renminbi liberalisation could enhance risk management capabilities in the Asia-Pacific energy and commodities markets, writes Lianna Brinded
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.
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