Asia Risk - VOLUME 16/ISSUE 5
Articles in this issue
Investors debate the future of Australian debt markets
Debt prospecting down-under
Risk and treasury managers get to grips with Indochina
New frontiers
Chinese banks stake their future on SME loans
The SME revolution
Challenges ahead for access derivatives in Asian markets
Gateway to Asia
StanChart bests the rest for coporates derivatives in Asia
The standard bearer
Asia’s banks move to meet new capital and liquidity rules
A capital plan
Treasury risk management
Treasury tightrope
Taiwan regulators in tight spot on structured products
Taipei’s tight spot
General short-rate analytics
Alexandre Antonov and Michael Spector present an analytical approximation of zero-coupon bonds and swaption prices for general short-rate models. The approximation is based on regular and singular expansions with respect to low volatility and contains a…
Developing a sharia op risk framework
Risk and riba
Life companies try to meet inflation-linked product demand
Inflated needs
Supervisors seek to manage shadow banking risks
Chasing shadows
Dealers push for further CVA amendments under Basel III
Adjusting the adjustments
Axa’s Mark Stamper talks about the insurer's risk overhaul in Asia
Chains of command
Sponsored statement: State Street
Gold – A unique asset class
Sponsored statement: HSBC
Back to basics
Sponsored statement: Credit Suisse
Building balance – a new generation of ETFs
Sponsored statement: Royal Bank of Scotland
The Inflation Vortex: Growth versus inflation – what path lies ahead?