Credit suisse
Latest in series of fixed income moves at Nomura as Cottle joins to head up European fixed income; new Barclays chief executive is retail banker; UBS creates CRO job for Asia-Pacific investment banking;...
Banks in Asia are increasingly relying on the pricing and execution power of their electronic platforms to keep their structured products operations competitive. But as more strive towards the low costs...
This multi-asset two-year autocallable from Credit Suisse offered a potentially healthy fixed return based on the performance of the S&P 500 and Russell 2000 indexes, but capital is at risk if the final...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Credit suisse articles
Banks have launched a swathe of S&P 500 leveraged return notes on the back of new highs for the benchmark US equity index
Issuers will have to invest more in IT following the release of new guidelines for Hong Kong’s listed structured products market
Accusations that UK bank hid Iranian transactions are latest example of US authorities exporting compliance obligations
Confusing, inconsistent, troubling, schizophrenic, messy – some of the adjectives lawyers are using to describe guidance published by the US Commodity Futures Trading Commission (CFTC) on the cross-border application of its Dodd-Frank Act rules. It’s...
CIO traders leave JP Morgan - the bank also creates new division, reshuffling top management; Deutsche hires Houari from Barclays; deputy fixed-income head leaves Nomura; new hedge fund hires top quant; Citi boost credit sales and trading
Credit value adjustment (CVA) is not just a capital burden – the complexity of the calculations involved is also pushing banks’ processing resources to the limit. With traders needing up-to-date CVA numbers in real time, the industry is frantically...
Increasing prices on cross-currency swaps as a result of Basel III’s credit value adjustment charge are making it harder for companies to issue bonds overseas – this is just one example of the fragmentation of global capital markets
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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