Schroders
A slew of Asian regulators have looked into high-frequency trading prompted by concerns over computer-driven market manipulation. But little evidence of its negative impact has been found
BNP Paribas The BNP Paribas foreign exchange structuring team shrugged off corporate uncertainty arising from the European debt crisis this year to produce made-to-measure distributor solutions that...
Axioma report highlights declining risk levels; iShares notes use of both active and passive funds by investors; Swiss Structured Products Fair lands in Zurich
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
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Lieven Debruyne, chief executive of Schroder Investment Management (Hong Kong), is eyeing up opportunities in the dim sum bond market
Top-performing asset manager's move to Schroders precipitates changes
A monthly roundup of all the comings and goings in the credit markets
Rajeev de Mello will replace existing head, How Phuang-Goh, who retires
Schroders outlook for next year is positive, with the UK avoiding a double dip recession and equity markets rising. However, the eurozone problems are not over and interest rates remain low.
New lows in gilt yields following last week's spending review have been seen by some analysts as a vote of confidence in the UK government's austerity plans. Other observers, however, say they reflect something else entirely.
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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