BNP Paribas Axa Variable Annuity tops deal of the year category
Importers will increase hedging activity amid greater rupiah volatility
This three-part series looks at the various factors that firms across the ecosystem of global FX markets - from the buy-side, the sell-side, and the supporting community of technology vendors and service providers - should consider in order to, not just survive, but to thrive in this dynamic and ever-changing environment.
More Indonesia articles
Regional KYC requirements adding to global regulatory burden
The drive for derivatives
US makes slow progress in signing up Asian states for Fatca IGAs
Fixed income ETF launched at a time of volatility in the Indonesian domestic market
Facing pressure from domestic producers and chronic pollution, China's authorities are considering clamps on low grade coal imports – potentially increasing swap activity
Asia still behind on global rules forcing subsidiarisation of foreign banks in the region
Steeled for the fight
Japan questions the current framework for clearing foreign exchange derivatives
S&P Dow Jones Indices index tracks the four largest economies in the Next 11 in a reflection of growing demand for broader emerging markets exposure
A reliance on liquid demand deposits may pose problems for Indonesian banks with no other obvious sources of funding
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.