Hsbc
US bank loses new regional CRO after just three months; HSBC unifies inflation trading business under Mirfendereski; Min Park replaced at Credit Suisse; forex hires at Bank of Montreal
HSBC's plans to establish a global prime services platform will culminate with the launch of a full international prime finance service for US hedge funds in 2014
Launch of the CNH Hibor to lead to an increase in CNH loans and hedging instruments such as floating rate notes and interest rate swaps
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 Hsbc articles
As China relaxes controls on its currency, the yuan is set to become more widely used. However, government control is likely to be maintained. Full convertibility may never happen, says Jim O’Neill
Single bank default could affect multiple CCPs, leading to crippling default contribution for existing members and a chain of bank failures
The recent rise in Japan’s equity markets have seen macro hedge funds and asset managers overtake the retail structured product investors as the dominant source of flow on Nikkei and Topix options
HSBC is offering US investors a chunky return dependent on four underlyings. The correlation between the indexes and an emerging markets index fund will determine the outcome over the four years for those that buy
Business units in banks are being asked the same question too many times, op risk heads warn
The emerging markets continue to provide access to the kind of volatility not seen in developed markets since financial markets started to become commoditised in the 1970s and 1980s, but there remains a number of ways to either exploit or analyse these...
BNP Paribas scored the largest mandate in 2012, at a time when regulatory and reporting requirements are encouraging greater outsourcing by asset managers. Luke Clancy reviews the major mandates in 2012 from asset managers, public institutions, pension...
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.
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