Feature
Presentation is key to making most of insurance models
Management depends on clear information to harness full value, say specialists
Acer reappoints Pototschnig for three-year term
Other commodities moves at ABN Amro, Barclays, ICBC, Freepoint and CFTC
Taiwanese banks reinvigorate Tarf market hit by loss and scandal
Industry well prepared for renminbi turbulence after learning lessons of 2014
Non-domestic custodians notch up big deals in Australia
BNP Paribas Securities Services takes A$50 billion of UniSuper assets previously run by NAB
Autocallable issuance upsets Euro Stoxx volatility market
Frenzied issuance on European indexes stacks up vega risk for dealers as natural hedge suffers
US gas price reporting drop raises questions about indexes
Energy companies blame regulatory risk for reluctance to report trades
New UK anti-corruption unit plans close ties with banks
International Corruption Unit seeks to anticipate criminality
Post-Wheatley FCA may be friendlier to banks
Following Wheatley's sudden resignation from UK regulator, FCA could become more bank-friendly
Concentration lapse: Bundesbank warns on policy surrenders
Low rates have dominated thinking, but lapse risk a growing threat for insurers
Q&A: Ercot's Doggett on wind power surge and EPA rules
Outgoing president and CEO discusses challenges posed by renewables in Texas
CCPs confront cleared swap basis threat
From Japan to Mexico, CCPs are trying to avoid repeat of CME-LCH price disparity
Talanx Q&A: ‘We won’t be the last’ to exit traditional guarantees
Old-style products no longer suitable for any market, says board member
CCP basis market takes off – but will buy-side join in?
Dealers are encouraging asset managers to trade CME-LCH swaps
Wages of sin: Hayes trial highlights abuse of Libor weaknesses
Interest rate's governance and wider industry culture also in the dock
Bank swaps headlock slips as Chicago prop firms join Sefs
HTG, Teza and TransMarket emerge as would-be providers of swap liquidity
Courting the AIIB: dealers eye development bank “goodies”
Beijing-based supranational expected to be heavy swaps user
CFTC to clamp down on delays in swap clearing
Agency readies STP push; Isda calls for phased approach and 10-minute limit
Iran deal takes sanctions compliance into unfamiliar territory
Banks likely to be cautious even after trade restarts
CCPs need thicker skins - Citi analysis
Analytical approach suggests CCPs should be putting more of their own capital at risk
Economic instability fears slow India derivatives market reform
As China rushes ahead with liberalisation programme, India takes more conservative stance
Op risk recruiters spread the net wider
Boom in op risk means more places in front line
Video: Highlights from OpRisk Europe 2015
Catch up with the debate at OpRisk's flagship London conference
Infrastructure funds focus on de-risking energy investments
Investors see opportunities as utilities divest underperforming assets
FCMs try to ‘off-board’ credit and commodity funds
Fee hikes are being used to drive out clients that hog capital