Foreign exchange (fx)
Investors shift allocations to US dollar products as euro sinks.
Germany broadens shorting ban scope
Transition management is gaining popularity in Australia, with longer transitions using off-exchange trading platforms becoming increasingly common. But there are plenty of risks associated with such trades....
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Foreign exchange (fx) articles
The Reserve Bank of India issued draft guidelines last November proposing a ban on reduced-cost derivatives structures – the source of much controversy in India’s corporate market during the past three years. But some corporates are not happy with...
Financial crisis has been a ‘brutal awakening’ for Asian asset owners, say panel members at transition management event
China Construction Bank (Asia) is enhancing its retail offerings in Hong Kong ahead of a planned expansion into mainland China. But the distributor is delaying sales of accumulators to high-net-worth and private banking clients for fear of reputational...
Duggan Asset Management has launched its second issue of the year, a foreign exchange-linked bond that uses a low-risk strategy not generally correlated to equities, bonds or property. The FX Bond’s underlying strategy is the Nomura Arcs Volatility...
The debt crisis in Greece has brought volatility to the eurozone and given global markets the jitters. For many private banking accounts the affair has further underlined the attractiveness of emerging markets, where budget deficits are often lower and...
Winners of the Risk España dealer rankings explain how hedging related to sovereign debt issuance and Latin America will be key revenue sources in 2010.
The Risk España rankings have a new winner – and new faces throughout. While foreign players returned to Spain’s recovering derivatives market this year, the elite banks managed to increase their share of the votes, but the middle order 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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