Asset management
Hong Kong RBC proposals could lead to inconsistency – Axa Asia CRO
Proposals diverge from market-based approach
CME and LCH.Clearnet prep buy-side repo clearing
New clearing services could offer cross-margining benefits
In limbo: insurers await PRA views on matching adjustment
Industry hoping for favourable outcome from pre-applications
Weavering's Peterson jailed for $500m swaps fraud
Due diligence should have raised investors’ suspicions
US natural gas hedge fund shuts down
Roaring Fork says poor liquidity foiled its trading strategies
Evolving post-trade requirements in the new regulatory environment
Sponsored feature: DTCC
Mifid II to cause shake-out in hedge fund derivatives trading
New requirements may lead to consolidation among small funds
‘Grexit’ and radical Greek bond restructuring not expected
Extension of maturities and lower interest rates more likely
One in 12 alternative firms to face SEC action
In 2013 SEC increased formal orders of investigations by 20%
Internal model firms tested by delays on equivalence
European parliament urges commission to act
Primes re-pricing and exiting their tails
Start-ups struggling to establish multiple PB relationships
Mariner: improve liquidity with non-bank broker dealers
Hedge funds need to step in, says CIO Williams
Event driven boosted in 2014 by $43 billion flows
Activist strategies account for approximately $14 billion of total
Ukip sees influx of hedge fund money
Hedge funds have donated more than £160,000 to the UK Independence Party
Swiss franc fallout claims hedge fund victims
Major hedge funds in London and New York affected
Barclays attempted to cancel Swiss franc trades
British bank tried to renege on counterparty trades, sources say
Allianz plans to expand low-risk alternatives
Doubling in assets shows demand for low-return investments
MetLife Sifi fight draws in state regulators
Insurance commissioners say views ignored by federal agencies
Complexity and returns behind PFZW decision to ditch hedge funds
Dutch pension fund to focus on controllability and intelligibility
Bond holdout provisions ‘could be challenged as oppression'
Hedge fund activism - trends and predictions for 2015
Insurers struggle to manage risk of infrastructure U-turns
Mitigating political risk is tough, but more can be done
Fund of hedge fund winners offer strategy picks
Culross's Chris Keen says small-name banks are undervalued
Managed futures ‘not a tail risk strategy'
Investors should not try to time allocations, says Abbey
Lessons from Japan for Europe's life firms
Insurance failures at the end of the 1990s show how not to survive low rates