News/Economics
Nomura chief economist Richard Koo warns the US and European economies face double-dip recession and a prolonged period of economic stagnation if stimulus is cut too soon.
The Committee of European Securities Regulators (Cesr) has made public for the first time its analysis of trends, risks and vulnerabilities in financial markets
Recent Risk.net poll finds market fears second global slowdown above other scenarios
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More News/Economics articles
FOMC officials’ pessimism about conditions highlights challenge central bank faces in fulfilling its dual mandate
Economists warn fiscal belt-tightening in Europe may exacerbate imbalances in the global economy, leading to sluggish growth and excess liquidity in government bonds.
Bank for International Settlements says degree of slack likely to be smaller than suggested by output gap models
RBC Capital Markets survey say Greece most likely country to leave the eurozone.
Despite improvements in investment outlook since 2009, the IEA still has reservations about supply concerns in the next five years
The viability of the Eurozone project continues to weigh on fixed income market, says chief investment officer of DB Advisors.
Global head of fixed income at Axa says a more cohesive political union is needed if the Eurozone is to survive.
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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