Europe
As trading regulations and central counterparty (CCP) clearing becomes a reality for the global derivatives market, Lianna Brinded investigates whether US and European firms will take their energy and...
Larry Brainard, chief economist at political risk consultancy Trusted Sources, argues that until Eurozone policymakers shift the emphasis of remedial action from sovereign debt and onto the banking sector,...
Alarm bells hit the market after China’s oil demand slump signals a possible unexpected slowdown in energy demand growth
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Europe articles
Thierry Sciard, previously head of alternatives at Fortis Investments, joins StormHarbour.
Gilliat has joined the Federation of European Financial Advisers, enabling it to expand its distribution into Europe
Cecile Houlot takes up post after 13 years at JP Morgan.
Requests for proposals from continental Europe soar says JP Morgan pensions expert
Executive managing director Tony Angel is leaving Standard & Poor's after two years
Futures fund manager Qbasis seeks a London listing for an ETF based on its strategy
European financial markets have been turned upside down by the sovereign debt crisis, with eurozone government bonds no longer regarded as completely risk-free. As a result, dealers are more wary of the correlation inherent in collateral denominated in...
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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