Stakeholders in the Asian recovery have a nervous eye on the region’s central banks for signs as to when interest rates will rise this year – something that could weigh on equity returns and devalue the portfolios of bondholders. Changes in rates...
Stuart Staley has taken over as Citigroup’s global head of commodities, as the bank aims to boost the business by 30-40% over the next three years.
Gaining ground, our latest analysis reveals the key findings of the Top 50 Global Custody Mandates 2010 study
In August, the Bank of Thailand relaxed its regulations covering the use of derivatives. Chris Wright takes a look at the effect this is having on hedging and investment in the country
Unlike other asset classes, the settlement mechanisms in the foreign exchange market appear to have worked well, even when market turmoil was at its height late last year. Risk and roundtable partners CLS, Citi, Credit Suisse, Deutsche Bank and HSBC convened...
A panel-debate style forum moderated by Risk's Nick Sawyer on settlement risk in the foreign exchange marketplace.
Focus on replication strategies has increased significantly over the course of 2009. In this article, Citi explains the practical applications of the Hybrid Absolute Return Portfolio index and how investors can benefit from using this investment strategy
We compare principal-protected, accelerated growth and reverse convertible products with April 2009 strike dates