European union (eu)
Traditional bond buyers worry about tail risks in CRD IV-compliant capital instruments, but analysts are predicting up to €200 billion of issuance
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.
More European union (eu) articles
Electoral advances by anti-European parties and vocal criticism by influential voices represent the most serious challenge to the European project in a generation. While a rapid restructuring of the eurozone, or of the union itself, may feel unlikely,...
Extraterritorial aspects of European legislation such as Emir likely to be keenly felt by Asian firms, says Asifma
Clearing house and commodity traders voice concerns about European firms going to US due to Emir CCP standards
India has no plans to become an equivalent country under EU regulations on financial services. India’s decision is likely to foreshadow problems with other emerging countries trading with the EU
Planned one-basis-point charge will be levied multiple times in cleared trades – and could “kill the market”
Technology can provide a competitive advantage in banking. How it is applied by Tier 1 and Tier 2 institutions, to the benefit for their risk management systems, is discussed.
UK, 3rd Jul 2013
USA, 17th - 19th Jul 2013
UK, 24th - 25th Sep 2013
UK, 26th Sep 2013
USA, 21st - 24th Oct 2013
Canada, 21st - 16th Oct 2013
UK, 19th - 20th Jun 2013
USA, 19th - 20th Jun 2013
Singapore, 29th - 30th Jul 2013
USA, 5th - 7th Aug 2013
Updating your subscription status
Risk IPad Apps