Since its launch in 2002, China’s qualified foreign institutional investor (QFII) programme has been a boon for investment banks. But new regulations issued in September 2009 raise significant issues...
Asia is now the largest buyer of raw materials and its companies face significant hedging challenges to manage price volatility. But the fragmented nature of the region’s economies has hampered the exertion...
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 China articles
Chairman and chief executive of Bank of East Asia, David Li Kwok-po, is a consummate relationship banker who has expanded the Hong Kong family bank’s footprint into mainland China. But he places high importance on quantitative risk management. By Georgina...
Chinatrust is one of Taiwan’s leading financial groups with businesses spanning venture capital, asset management, securities broking and commercial banking. Its growth has taken place alongside the development of the island’s financial markets, says...
China's new guidelines for developing the gold market could result in more gold derivatives in the country.
Investors in Chinese corporate bonds may struggle to recover their money in the event of a bankruptcy, according to FS Asia Advisory.
Structured products issuance in the US public market has undergone a revival with a sudden flood of accelerated growth products
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.
UK, 3rd Jul 2013
USA, 17th - 19th Jul 2013
UK, 24th - 25th Sep 2013
UK, 26th Sep 2013
USA, 21st - 24th Oct 2013
Canada, 21st - 16th Oct 2013
UK, 19th - 20th Jun 2013
USA, 19th - 20th Jun 2013
Singapore, 29th - 30th Jul 2013
USA, 5th - 7th Aug 2013
Updating your subscription status
Risk IPad Apps