Japan
Investment banks are having to adapt as the commodities environment changes in the Asia-Pacific region. Managing Director and Chief Executive Officer of the Global Commodities Group for Asia-Pacific,...
The number one ranked bond fund manager (according to Morningstar) is not tied to his benchmark; is that any coincidence?
Times are tough for Japanese providers of variable annuities. Two years since the severe downturn across equity markets caused significant losses on extensive VA guarantees provided to customers, life...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Japan articles
With the Asia-Pacific being the beacon for growth in the energy and commodities market, Lianna Brinded speaks to one of the International Swaps and Derivatives Association’s regional chiefs on the evolution of Asian markets and what this will mean for...
Times are tough for Japanese providers of variable annuities. Two years since the severe downturn across equity markets caused significant losses on extensive VA guarantees provided to customers, life insurers now find their margins squeezed by low interest...
Equities and bonds are overvalued while commodities and emerging markets look equally unattractive, according to Société Générale's 2011 Outlook presentation
Portugal sells $1.6 billion worth of government debt at auction, but commentators remain wary of fundamentals
The COP16 meeting in Cancun has been deemed a ‘technical success’ by market participants, but expectations were far lower in comparison to Copenhagen. Katie Holliday investigates
Extreme market volatility following the collapse of Lehman Brothers in 2008 caused Japanese investors to incur deep losses from their structured product investments. But structured products, notably those sold in the uridashi market, are still popular...
G-20 leaders endorsed the introduction of the new banking capital accord, Basel III, at their first meeting held in Asia in November. Regulators will now turn their attention to too-big-to-fail institutions, the ‘shadow banking’ community and commodity...
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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