Rising grain prices resulting from drought conditions in the US prompt unwinding of positions as banks work to add additional signals into alpha strategy algorithms
UBI sells strategy-based products to retail in Italy for the first time
A change in the requirement for the final terms of a prospectus could restrict innovation in structured products, say market participants
This white paper looks at the heavy impact of regulation on investment managers, the mitigation of outsourcing risk, inefficiencies in corporate actions processing and the growing importance of collateral management.
More News/Structured Products articles
Participants in the structured products industry in Belgium remain at loggerheads over key points from the Financial Services and Markets Authority moratorium
UBS bolsters equity derivatives team
Hassan Houari has ended a 12-year career at Barclays to take up a role as global head of structuring at Deutsche Bank in London
iShares makes a bold prediction for the decade ahead as inflows into fixed-income exchange-traded funds increase, but others are less optimistic
Despite the recent poor performance of European equities, three US banks have registered leveraged return notes based on the Euro Stoxx 50 Index in a single week, some with unusually long maturities
Four months after the furore surrounding the Tvix exchange-traded note, Finra has responded by issuing an investor alert warning of the risks involved in the products
Leveraged and inverse ETFs and ETNs criticised by New York University mathematics professor
Asset managers seek to standardise Solvency II asset data provision, but industry-wide solution presents challenges
Uncertain regulatory and economic environment increases risks associated with liquidity trades, warns Fitch
An index based on other indexes can offer institutional investors sophisticated strategies and retail investors easier access to capital-protected products in difficult structuring conditions, say i...
Global uncertainty is driving investors in Asia into fixed-income assets and structured and credit-linked notes with exposure to credit, though they remain wary of issuer risk
Relaxation of restrictions over covered bonds issuance should prompt rapid expansion of sector’s present small base
Sellers of Ucits products in the UK now have until 2014 to apply for permission to provide the key investor information document after a transaction is completed rather than before
An increasingly savvy investor base in Asia is paving the way towards a more customised and managed approach to structured products aimed at private banking investors
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.