Eurozone crisis
Sponsored by Credit Suisse Fund Services and Société Générale Securities Services, and in partnership with the Association of the Luxembourg Fund Industry (Alfi), a panel of experts convened at the...
The top two banks in Spain retained their positions in this year’s Risk España rankings but, in a market where reality is beginning to bite, analysts are asking questions about their capital positions...
The crisis in Cyprus may come to be seen as a turning point towards reduced moral hazard and a viable future for the euro, but David Rowe argues many pitfalls remain
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Eurozone crisis articles
The results of Italy's election may have created uncertainty, but the eurozone's future remains intact, according to speakers at the FX Invest Europe conference
The tight link between commodities and equities is easing as firms become less worried about macro shocks, say analysts
Back in March 2012, the credit derivatives research team at London-based hedge fund CQS noticed something odd. The ninth series of Markit’s CDX North American Investment Grade index (IG 9), which references 121 corporates, was far cheaper than it should...
OpRisk looks again at the primary concerns for operational risk managers in the New Year
The recent financial crises have changed the way insurers and asset managers view credit risk, revealing a fundamental misunderstanding of the risk in many companies’ portfolios. Risk managers have had to raise their game in terms of how credit risk...
A panel of experts from BNP Paribas, BNY Mellon and Euroclear discuss the opportunities for collateral management, the availability of eligible collateral, and the impact of the sovereign debt crisis and looming regulation
During 2012, markets have not seen the wild volatility of recent years, but these stomach-churning switchbacks have been replaced with something that is arguably tougher for dealers to handle – a drop in volumes and liquidity. Deutsche Bank has been...
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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