India
A selection of pictures from the Risk India event held in June, hosted by Asia Risk magazine
The exchange-traded fund (ETF) market looks poised for rapid growth in India, but domestic regulators are worried about potential systemic risks posed by the instruments. Speaking at the Risk India conference...
Lav Chaturvedi, chief risk officer at Reliance Capital, speaks about the challenges facing the derivatives industry in India, including the introduction of a credit default swaps market, and the dangers...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
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The demise of participatory notes and other access derivatives has long been predicted amid regulatory clampdowns and permission increasingly being given to investors to access markets directly. Funding issues have also caused headaches for swaps issuers...
Panel discussion focuses on the need to control fast-growing financial sector, and learn from regulatory conflicts in US and Europe
A panel of experts at the Risk India conference in Mumbai believes the ETF market is set for growth in India, but expressed concern about synthetic products
The Indian insurance regulator is ramping up its product approval process, after adopting the same pricing software as its insurers – and the signs are that more Asian regulators may follow this trailblazer.
Corporates operating in the Asia-Pacific region have faced dramatic increases in many domestic currencies versus the US dollar, and large disparities between domestic and developed world interest rates during the past 12 months. Against this backdrop...
A number of new derivatives initiatives are in the pipeline in India, including the development of a credit default swap market, interest rate forwards and derivatives trade compression services, according to Subir Gokarn, deputy governor of the Reserve...
A large number of foreign currency convertible bonds issued by Indian companies are due to mature in the next year. But with the equity market not trading at the levels assumed when the bonds were issued, some companies may struggle to meet their obligations...
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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