Japan
Speakers on a panel at Risk Japan 2011 in Tokyo on August 30 debated the effects of international regulatory developments on Japanese financial institutions. Some parties believe Japan needs to team up...
Masao Hasegawa, CRO at Mitsubishi UFJ Financial Group, says he was taken aback by a regulatory requirement to develop a resolution and recovery plan before year-end
During a question and answer session at Risk Japan 2011 in Tokyo today, Mizuho Securities chief risk officer, Kenji Fujii, tells delegates Fed chairman, Ben Bernanke, was right not to have announced a...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Japan articles
The largest year-on-year change in the Europe FVC indexes was the 15.66% seen in the accelerated growth index. The change for the same period in the region's benchmark Eurostoxx 50 index was an increase of 10.7%. The rise in the accelerated growth index...
Welcome to the Global Custody Survey 2011, where we provide you with an overview of the activities of the custodians from assets under custody, securities lending to foreign exchange
Barclays Capital is to list nine exchange-traded notes (ETNs) on the Tokyo Stock Exchange through its exchange-traded product platform iPath, making them the first ETNs and foreign securities listed in Japan
Intervention from Swiss and Japanese authorities last week to weaken currencies meets with mixed success and leaves trading desks facing uncertain environment
Japan FSA's 25:1 leverage limit implemented on August 1 could kill the popularity of the carry trade for retail investors, says Gain Capital's chief executive
Global investment banks shouldn't look to Asia to prop up their ailing operations.
Financial losses stemming from Japan’s Fukushima nuclear reactor accident will likely match or exceed losses at banks during the financial crisis. The ripple effect is already being felt by power generators worldwide. Stephen Maloney identifies the...
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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