Feature
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
BOCI pushing RMB as collateral in commodity derivatives deals
Bank of China's Hong Kong subsidiary looks for global role – and to expand the use of the yuan
US propane retailer hedges to offer customers stable prices
Michigan's Crystal Flash struggles with basis risk and volatile weather
The 5% trap: Solvency II brings more woe for ABS
Risk retention rules threaten to force firms to dump legacy assets
Low rates enhance appeal of autocallables beyond core Asia market
Product born in 1990s Japan's low yield environment set for global stage
Totem poll: users of Markit service call for change
Libor-like consensus methodology creates bad incentives, clients fear
Video: E.on Global Commodities CRO David Port
Port comments on how risk management will be affected by Uniper spin-off
Video: Jean-Marc Bonnefous, Tellurian Capital Management
Bonnefous defends investment in commodities amid market turbulence
Video: Uwe Schulz, CRO of RWE Supply & Trading
Schulz speaks about threats and opportunities facing European utilities
Shadow banks eye accounts receivable as lenders retreat
Hedge funds target 10–12% returns on credit risk from unpaid invoices
Video: Alberto Pototschnig, director of Acer
Acer director talks about progress on Remit and power market coupling
Video: Centrica chief risk officer Olivier Herbelot
Herbelot discusses how the UK power and gas giant manages its risk
Risk managers hold key to clarity on dividends
Absence of cash metric under Solvency II puts capital constraints in spotlight
Video: Enron 'best' and 'lowest' career moment, says Kaminski
Former research head gives wide-ranging interview on past and present of energy markets
Top annuity firms turning to transitionals
Doubts on matching adjustment are causing insurers to change plans
Regional banks take the slack from global firms' Asia retreat
Local firms are coming to the fore says Standard Chartered's new head of global markets
Goldman Sachs names global commodity sales head
Other commodities moves at Castleton, Natixis, TrailStone and VTB Capital
Italian refiner seeks boost from supply and trading unit
Saras gains from rebound in refining margins and flexible Sardinia refinery
China derivatives market growth lags economic development
While GDP growth has been spectacular, derivatives growth is muted
Fighting the cognitive biases that undermine scenario analysis
Risk managers should be aware of unconscious flaws in estimation
Mifid II adjustments fail to ease energy firms' worries
Revised ancillary business exemption would still catch large and mid-sized utilities