Feature
Collateral and commodity market dynamics in the new normal
The new normal
EU ETS faces back-loading test
A critical condition
Q&A: Alberto Pototschnig, Acer
Pulling it all together
Sommers to leave CFTC
Deutsche Bank appoints commodity co-heads; top analyst leaves Morgan Stanley; Icap Energy appoints in Singapore; Barclays loses energy research head; Huntington Bank launches hedging business
Futurisation worries end-users of OTC energy derivatives
The right tools for the job?
Brokers lift the lid on swaps-to-futures confusion at Ice
When swaps become futures
Advent Capital debunks convertible arbitrage myths
Myths and reality
OIS discounting dilemma for the buy-side
Discounting dilemma
Repo markets in Asia set to grow on the back of Basel III
Don't fear the repo
Legally blind: Huge settlements overwhelm op risk models
Legally blind
Spectre of tail risk haunts hedge fund investment decisions
Chasing the tail
South Africa considers onshore mandate for OTC clearing
On-message for onshore clearing?
Prime brokers see value in hedge fund clients, says former Newedge general counsel
Evolving relationships
Numerix tops the Structured Products Technology Rankings 2013
Structured Products Technology Rankings 2013
UBS fixed-income exit highlights difficulties of unwinding
Preparing to unwind
CRO 3.0: how the risk function is evolving
Louie Woodall talks to four chief risk officers about how the risk function is responding to the economic and regulatory challenges facing the insurance industry
Hedge funds grapple with Solvency II look-through test
Clear and present data
Uncertainty stokes demand for rates 'tasting menu'
Interesting times
Hedge fund fees are in the spotlight
Costly strains
Energy firms increasingly using stress tests to cope with regulatory change
Utilities and other energy firms are working hard to refine and enhance the scenarios they use for stress testing. Given recent market events, the impact of regulatory change and large-scale liquidity crises are taking on an increasingly important role…