S&p 500
Société Générale In a year when most banks shied away from trumpeting innovation, Société Générale (SG) continued its crusade to further tweak the financial technology that forms the basis of...
Amundi offers currency hedged Japan equity fund; iShares offers physical corporate bond exposure; Ossiam adds to minimum variance; State Street brings S&P low vol ETF to Europe
The brains behind recently launched Structured Investment Group (SIG) believe now is a good time to get into the industry, because the upcoming Retail Distribution Review will lead to structured products...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
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S&P Dow Jones Indices has combined two of the year's biggest themes so far in its latest index, the S&P 500 Low Volatility High Dividend Index
Structured Investment Group's first product is a six-year growth plan based on a basket of four indexes with Morgan Stanley as counterparty
ETF trading surges in September; iShares more positive on UK equities; IFAs preferring income products; China's luxury good market set for shake-up
The global structured products market faces many hurdles but Jersey-based Standard Bank Offshore is benefiting from being outside the eurozone and beyond the tarnish of the US and UK banking scandals. Vita Millers talks to Herman Wessels, head of private...
The generalized capital asset pricing model based on mixed conditional value-at-risk (CVaR) deviation is used for calibrating the risk preferences of investors. Risk preferences are determined by coefficients in the mixed CVaR deviation. The corresponding...
In an environment where investors can earn healthy returns on deposits, Australia’s boutique investment manager Instreet Investment is focusing on geared and growth products to attract an audience. Vita Millers talks to George Lucas, Instreet’s Sydney-based...
Stoxx launches new Africa indexes; S&P Dow Jones Indices gives access to low-volatility stocks and launches innovative China benchmark; FTSE launches minimum variance series; Edhec-Risk warns of drawdowns in alternative indexes
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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