Eurozone
One or two countries leaving the Eurozone might be containable, but any more than that would be a catastrophe from a legal perspective, says Bird & Bird partner Charles Proctor.
The number one ranked bond fund manager (according to Morningstar) is not tied to his benchmark; is that any coincidence?
Senior investors at Pimco, BlackRock, State Street, AllianceBernstein and Investec give their views on how the Eurozone crisis might play out in 2011.
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Eurozone articles
The chief economist of Zurich Financial Services believes there is the political will necessary to protect the eurozone over the long term
As the Eurozone sovereign debt crisis rumbles on into 2011, the threat of a country defaulting and even exiting the currency union grows ever more real. Credit looks at the remaining options available to Europe’s policymakers to prevent that from happening....
Following Ireland’s bail-out in November, bank risk managers accept the eurozone crisis is here to stay and are trying to guard against the worst. Some are looking for practical responses, others for smart hedges – but nobody is finding it easy. Duncan...
Dealers have had to get used to volatility. The past year has seen the Greek debt crisis and its spread to other European nations, causing the euro to tank in May and June. Meanwhile, the May 6 flash crash in the US saw the Dow Jones Industrial Average...
Derivatives research desks are getting used to advising clients on how to avoid disaster. After the subprime crisis in 2007, the collapse of Lehman Brothers the following year and the threat of global recession in 2009, the focus last year was firmly...
The senior research analyst at Loomis Sayles talks to Credit about the systemic implications of the Eurozone crisis and risks and opportunities in distressed debt.
As attention focuses on potential sovereign default on weaker eurozone members, Georg Grodzki, head of credit research at Legal & General Investment Management, says corporates could provide a refuge
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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