Liquidity
The turmoil in the eurozone has made for a cautious investor base in Spain and its southern European neighbours. But it is the high yield offered by government bonds on the back of sovereign debt fears...
The liquidity swaps market in the UK has stalled since the FSA’s consultation on the governance of these transactions. But some see the recent handful of small deals as being a precursor to a surge in...
Uncertain regulatory and economic environment increases risks associated with liquidity trades, warns Fitch
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Liquidity articles
Caught between the rock of Basel III and the hard place of sovereign debt instability, international banks have been retreating from Asia’s credit markets. As local banks ramp up their offering, does this mark the end of the suitcase banking model?...
ETFs are supposed to provide investors with deep pools of liquidity, but Europe’s fragmented market structure makes it all but impossible to gauge what the true picture is. Regulators are concerned about the lack of transparency and some warn that...
BoE thought to be the first major central bank to change policy on collateralisation as it seeks to reduce dealer funding charges
The European Securities and Markets Authority is scheduled to release final guidance on ETFs imminently. How are market participants preparing? In this sponsored webinar, three leading ETF experts discuss the likely changes
Attempts to match assets and liabilities on a country-by-country basis could be threatened if Greece leaves the eurozone. Banks fear the imposition of capital controls – the precursor to a redenomination – would spook depositors in other peripheral...
Regulators are talking about reviving the securitisation market as a solution to European bank funding pressures – and the door has been opened to counting mortgage-backed debt as a liquid asset. But the market also faces regulatory headwinds. Mark...
Benchmark OTC curves 'will help insurers calculate risk data for market risk models'
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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