Foreign exchange
UK could require more op risk capital from insurance firms from 2004
INSURANCE REGULATION
A cost/benefit approach to Basel II
The cost of implementing Basel II could put banks at a competitive disadvantage compared with non-banks, and spur them to ‘de-bank’ to avoid this regulatory burden. Harry Stordel and Andrew Cross say regulators must look at the provisions from a cost…
The active manager
SG Asset Management’s Stéphane Farouze provides tailor-made capital guarantees for investment managers. After closing some of the biggest deals in Europe, now he is eyeing the US
Nine billion ways to be snowed
Emanuel Derman separates real tools from passing trends in the risk management vocabulary. This article is adapted from his talk on Future Innovations in Risk Management, presented at the April Risk 2002 Conference in Paris
Job moves
QUOTE OF THE MONTH: - “It is likely that doubt and a lack of market confidence will affect all energy trading for some time to come” Francis Hervé, chief executive of EDF Trading, the London-based trading subsidiary of Electricité de France (EDF),…
The benefits of Enron
Many corporations are keeping a low profile when it comes to their derivatives use. But when the Enron-related witch-hunts are over, companies may find that insurers and shareholders now view corporate hedging as a fiduciary duty
End-user rankings 2002
Survey
A slow evolution
Credit risk
Hedge funds open in HK
New Angles
Looking for value
Convertible bonds
Another step forward
Comment
SG to offer 'mountain range' funds in Asia
SG, the securities division of French bank Société Générale, has begun rolling out its ‘mountain range’ series of capital guaranteed funds in Hong Kong, four years after they made their first appearance in the European market.
Credit Markets Update: Spreads widen on weak earnings and equity news
Most of the activity in the credit derivatives markets was again seen in the volatile telecoms sector, with five-year spreads on UK telco mm02 widening by around 20 basis points to 440bp/460bp following weak earnings results on Tuesday, which caused its…
EU likely to meet critics on op risk capital charge, UK regulator says
The European Commission’s final proposals on operational risk in investment firms within the Commission’s new capital adequacy framework are likely to meet the objections of critics, UK Financial Services Authority (FSA) managing director Michael Foot…
Credit Markets Update: Spreads volatile in Fiat and France Telecom
Five-year credit protection levels for debt-heavy Italian industrial conglomerate Fiat bounced from 360 basis points-mid on Monday, to 405bp on Tuesday, to 355bp by today’s end, according to data from credit derivatives broker GFInet. Traders said the…
StanChart boosts FX derivatives team
Standard Chartered has bolstered its Hong Kong-based foreign exchange and derivatives group by hiring Christopher de la Hoyde and John Tan.