Feature
Costs of forex manipulation could be worse than Libor
Total bill from penalties and lawsuits could reach “tens of billions,” some estimate
Europe’s high yield new issuance “lacks fundamentals”
Investors chasing returns risk defaults
How to game a Sef: Banks fear arrival of arbitrageurs
Liquidity could suffer if sharp practice takes root in Sef markets
Using the Orsa in Asian enterprise risk management
How Asian insurers can take the ERM function to the next stage
Liongate: hedge fund regulation impacting returns
'40 Act and Ucits restrictions risk stifling entrepreneurial spirit of the hedge fund industry
Canadian mortality data highlights longevity challenge for pension funds
Longevity risk transfer market must overcome fundamental issues
Insurers ramp up emerging risk management
Companies are setting up research teams to spot new risks
Europe’s management companies find new life in AIFMD
Can management companies save hedge funds from the threat of AIFMD?
Energy Risk marks 20 years of covering energy markets
Over two decades, magazine has shared in industry’s highs and lows
US banks worry over fuzzy Fatca requirements
IRS still unclear on compliance details
Renewables subsidy shift brings opportunity for energy firms
Companies see potential in moving into new role as service providers
AIFMD transition causing worries for fund managers
Tight timetable gives Europeans little time to comply
Dispersion predicted in fixed income returns
Managers disagree on diversification benefits of fixed income absolute return
Universal Fatca runs into political obstacles
OECD plan still some way off reality
Hedge funds wary of betting on rates
Managers cite 2013 fixed-income rout as reason for caution
FTR underfunding leaves PJM power traders out of pocket
Shortfall in biggest power market exceeds $1 billion since 2010
Overnight heroes: central banks weigh loans for CCPs
Eurex and SGX can borrow from their central banks, while rivals have to rely on common-or-garden lenders
Dynamic factor modeling reveals hidden risks
Risk management must be folded into investment decision-making process
Looking back: Post-Enron nerves give way to longer-term fears
Jitters subside as industry ponders role of trading and mark-to-market accounting
CLS facing obstacles adding RMB to its platform
RMB volumes set for growth but settlement remains an issue
Cross-currency basis causes pricing headache for dealers in Japan
Yen and dollar funding discrepancies hit Nikkei options market
Split reaction to international firms' Asia clearing plans
Eurex's Singapore CCP finds favour with market, CME less so
Creating Japan's largest derivatives exchange – Osaka Exchange profile
Osaka and Tokyo exchanges set to merge derivative platforms in March
Insurers wrestle with Emir reporting challenge
Legacy systems and guidance 'failure' add to challenge as deadline passes