Bernard Goyder
Bernard Goyder is a senior staff writer for Risk.net, based in New York. His focus is on the global derivatives market. Before joining Risk.net he was a senior reporter at Euromoney Institutional Investor, covering the insurance industry for Insurance Insider, Inside P&C and Trading Risk. Before Euromoney, he worked at Dow Jones, where he covered investment banking and asset management for Financial News. He holds an undergraduate degree in history from SOAS, University of London and a Financial Journalism masters from City University, London.
Follow Bernard
Articles by Bernard Goyder
Interest rate swap activity surges ahead of Fed tightening
Counterparty Radar: Managers react to fastest rise in inflation in three decades
Banks given conflicting guidance on Libor loan facilities
Some banks have been told they can continue to honour uncommitted dollar Libor lines in 2022
Asset managers want better access to spot crypto market
Top buy-side exec bemoans constraints in debate on use of futures versus spot for cryptocurrency
Dealers warm to SOFR swaptions but buy side lags
Rate accounted for nearly half of new notional last week, but operational issues slow end-user uptake
Sixth Street leads race to buy Allianz’s US annuity book
Credit investment firm spun out of TPG in 2020 snapping up insurance assets via its Tao fund
US swaptions slowly ditch Libor as ‘SOFR First’ bites
Risk USA: Around half of interdealer trades adopt successor rate on day one of initiative