Nomura
Inverted yield curve provides rich pickings for investors
The emerging markets continue to provide access to the kind of volatility not seen in developed markets since financial markets started to become commoditised in the 1970s and 1980s, but there remains...
The European Banking Authority has proposed a way for banks to calculate a credit valuation adjustment capital charge when credit default swap spreads are absent or illiquid – but it does not solve the...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Nomura articles
Momentum strategy delivers good skew, says Nomura; S&P Dow Jones Indices launches Givi sharia indexes; MSCI expands economic exposure series; FTSE indexes deliver sensitivity to economic cycle
While foreign hedge funds have been driving down the value of the yen, now Japan insurers may strengthen the trend
The European Systemic Risk Board is about to announce a slimmed-down list of potential macro-prudential tools, but who has the power to use them is still the subject of debate. By Michael Watt
Regulators are bracing for fresh criticism of bank capital modelling, say industry sources
The deadline set by the G-20 to clear all standardised OTC derivatives has passed but a lack of regulatory clarity over the shape of reform is hampering banks in the region
Nomura targets private equity; S&P Dow Jones Indexes launches low-vol Asia index; MSCI tracks large China stock; FTSE index tracks US green property
Korean retail investors will be able to access Kospi 200 warrants without the barriers to entry that exist in the Korean market
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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