European central bank (ecb)
Any withdrawal of liquidity by the ECB at year-end would cause major uncertainty, say bankers
The viability of the Eurozone project continues to weigh on fixed income market, says chief investment officer of DB Advisors.
Insurance Risk and BNY Mellon have conducted a survey to look at how insurance companies are preparing for the new regime and the opportunities and challenges that the changes will bring.
More European central bank (ecb) articles
Normal service appears to be a long way from resuming in credit, as macroeconomic uncertainty continues to grip the financial markets.
Bond investors have snapped up German Bunds in recent weeks, with Europe’s sovereign debt crisis triggering a flight to quality. But is Germany really the safe haven it appears? Credit explores potential vulnerabilities in the German economy and assesses...
The commencement of the ECB’s government bond purchase programme and the announcement of an EU loan facility for struggling peripheral countries resulted in an immediate tightening of spreads. Yet uncertainty remains as to whether beneficiaries will...
Dealers eagerly watch European Central Bank tenders as new maintenance period is set to begin
Unintended consequences are almost inevitable when weighty new regulations come into force, even if those rules are enacted with the best of intentions and seem sensible. The risk increases when regulators act quickly, succumb to political imperatives,...
Changes are planned to a key euro rates benchmark - and it could have a number of knock-on effects.
UBS index meets demand from German retail investors for regular income that beats the European Central Bank's base rate.
This paper discusses a number of diverse considerations that risk managers need to incorporate into their thought processes and recurring procedures if they are to fulfill their role more effectively in the future