Global heads of equity derivatives sales and retail structured products leave US investment bank. Craig Verdon will assume responsibility for the bank's derivatives business in Asia
A spike in North American oil production and seasonal changes in demand should see WTI fall sharply later this year – a contrast with Brent, which is exceptionally stable, says BAML global head of commodities...
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Credit risk and market risk much easier to set appetite for, conference hears, but operational risk is considered in terms of tolerance rather than appetite
Capital hit could drive EU banks out of US CCPs, leaving them unable to provide clients with clearing services
European institutional investors are using exchange-traded funds to position themselves in high-yield and emerging markets bonds ahead of expected interest rate hikes
Mexico’s programme of energy market reform will lead to greater integration between the north of the country and neighbouring US states, such as Texas and California, says energy regulator in an exclusive video
A lack of guidance on the swap dealer provisions of the US Dodd-Frank Act is turning compliance into a guessing game for swap dealers such as Cargill Risk Management, suggests the firm's chief compliance officer in a video interview
As established prime brokers struggle with new capital and liquidity pressures, Wells Fargo says it has a chance to grow
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.
Hong Kong, 1st - 31st Dec 2014
UK, 18th Mar 2015
Australia, 12th - 13th Aug 2014
Australia, 14th Aug 2014
USA, 20th - 21st Aug 2014