Feature
Middle East unrest raises risk of credit market volatility
Arabian fights
Asian institutional investors turning to hedge funds for higher performance
Elephants never forget
Continued disturbances in the MENA region influences pace of global economic growth
What impact will Middle East unrest have on markets?
Managed futures on the rise as investors chase diversification
Probable future
Eurozone countries court Asian buyers for new debt issuance
The golden handshake
Inflation rise in Turkey threatens nascent corporate bond market
Turkey: Almost a market
EU confusion over cash collateral rules
Collateral confusion
Asian regulators get tough on liquidity ring-fencing
Ring-fencing liquidity
China gives the go-ahead to forex options and cross-currency swaps
Hedging gains currency
CSRC rules make it hard to tackle China ETF premium and tracking error issues
China conduit concerns
Institutional appetite grows for ETF products
Entry point
Bank derivatives regulation rules change in China
New rules on derivatives
Multi-currency CSA chaos behind push to standardised CSA
The evolution of swap pricing
ORX studies op risk scenario best practice
The prediction process
UK fines increase as FSA ditches soft approach
No more Mr Nice Guy
Japan disaster has broad impact across asset classes
Race to de-risk
Netherlands: Slow rebirth of the Dutch market
Netherlands: Slow rebirth of the Dutch market
Luxembourg: Private banking flourishes in Luxemburg
Luxembourg: Private banking flourishes in Luxemburg