Rather than rushing to increase regulation and potentially creating compliance costs and regulatory risks, authorities should be getting involved at the ground level to improve supervision, says Lars...
SEC charges former UCB executives with failing to disclose losses that led to the bank crashing in 2009
Regulators release risk retention rule; publish a specific loan-to-value ratio for those mortgages that will be exempted
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More Sub-prime articles
The US Securities and Exchange Commission filed a lawsuit against Goldman Sachs in April, alleging it had misled clients by not disclosing that a major hedge fund had helped select the underlying assets in a collateralised debt obligation and was planning...
WASHINGTON, DC – Goldman Sachs is facing civil fraud charges from the US Securities and Exchange Commission (SEC) for allegedly making misleading statements and omissions relating to a synthetic collateralised debt obligation (CDO). German regulator...
Implied total returns suggest UK property market was overheating in 2006.
After recent financial turmoil, market participants are thinking much more rigorously about ways to protect themselves against the possibility of rare but extreme events. However, effectively hedging tail risk is not straightforward. By Mark Pengelly...
WASHINGTON, DC – US financial services firm State Street has agreed to the largest subprime payout yet. The Boston-based bank agreed on February 4 to settle US Securities and Exchange Commission (SEC) charges by repaying fund investors in excess of...
In response to industry fears of a collateral crunch, regulators have revised the proposed rules on margining for uncleared over-the-counter (OTC) derivatives.You can find out more by downloading this white paper here.
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