Emerging markets
The latest structured products released in the US public market include a divergence of exposures, split between reverse convertibles and accelerated growth. Underlyings are dominated by US and emerging...
UK investors have recently been offered emerging markets as an underlying, a commodity fund and no capital protection as providers have been able to structure some attractive payoffs
RBS has launched a series of structured notes in Germany linked to Indonesia, India and Chile
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Emerging markets articles
BarCap has introduced an extension to its inflation-linked index that allows investors to track their funds and fixed-income assets
Investors are now more interested in market fundamentals rather than the potential for further bad news about European sovereigns, according to Barclays Capital's fourth quarter outlook
Swiss financial institution Promoteo is grappling with the same issues that affect the structured products business worldwide. While volumes have been low, structurer Serge Lignot is optimistic that they will pick up but a lack of directional views is...
Correlation in global equities has been on the rise for the past decade. The credit crisis, structural shifts in global financial flows and the rise of exchange-traded funds has meant that asset classes seem to be moving together. Rebecca Hampson reports...
Investment in major construction projects has traditionally been the domain of specialists prepared to lock up large sums of capital for the long term. However, new equity products are attempting to replicate that exposure and attract a wider pool of...
As issuance volumes increase, HSBC products offer access to Chinese and Brazilian equities.
Thibault Delahaye takes over equity derivatives trading at BNP Paribas as former head Eric Deudon is appointed to lead the newly created emerging markets division within equities and commodities.
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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