Europe
Exchange-traded funds have proliferated in Europe, offering institutional investors enormous investment choice and liquidity at a low cost. We find out how and why these products are attracting the interest...
Source has brought exposure to volatility to the European market through an ETF based on the S&P 500 Vix Futures Index
Deutsche Bank has listed 10 new exchange-traded commodities on the London Stock Exchange to complement the 19 it issued earlier this year in Frankfurt
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Europe articles
The most extraordinary thing about the sale of Blue Sky Asset Management to Incapital is probably that the same number of structured products professionals in the US knew of Blue Sky as those in the UK that knew of Incapital. And that number is zero....
Much work needs to be done to salvage Europe's banking sector but the continent's leaders are proving unequal to the task, says Larry Brainard.
European refining has been in the doldrums for the last few years. Alex Davis looks at the outlook for Europe’s refiners and at how this will affect hedging strategies
Despite the integral role played by forests in efforts to combat global warming, the market for forest-based carbon offsets has been slow to develop. Katie Holliday talks to experts about how this landscape is now changing
Impending regulation changes will have a profound impact on the operational side of the energy markets as energy companies face capital adequacy issues. Lianna Brinded investigates how companies will cope and what repercussions the changes will have on...
Exchange-traded fund (ETF) provider Source has created the first European ETF on the S&P 500 Vix Futures Index, providing investors with access to volatility at a time when fiscal problems in Greece and other European countries have pushed volatility...
RBC Capital Markets survey say Greece most likely country to leave the eurozone.
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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