Editor’s letter
Energy market liquidity faces threat from regulation
Financial rules putting progress towards liquid and transparent markets at risk
Bail-in: why derivatives are in scope, but out of bounds
Analysing early termination costs - and the risks of contagion - will be tough
The dangers of herd behaviour
Policy-makers should take note of flaws being pointed out in capital rules
China brokers and securities houses look to the global market
Mainland firms are now looking beyond their borders
The problems with delayed enforcement
First UK Libor trial highlights the length of fraud investigations
Who will be the dummy in CCP crash-tests?
Clearing houses, banks and regulators could all be caught in the wreckage
FCA survey finds high levels of leverage in hedge fund sector
Gross notional exposure to interest rate and forex derivatives on the rise
Credit risk weighs more on planet S-II
Rising yields in May failed to lift insurance stocks, with credit risk the reason
European Repo Council chief fears ‘meltdown of G20 dream’
Concerns heard as repo industry considers voluntary adoption of clearing
Can anyone be expected to manage a modern bank?
Misbehaviour at banks may not just be result of poor management
Asia Risk awards move to Singapore for 2015
There's a change of venue but the aim remains: highlight best industry practice
Custody Risk Summer 2015
Opportunities in repo and stock lending for new players
Cher of the blame: whose fault was the swaps push-out?
Question is not why provision died, but how it was ever born
EU commodity trading firms face capital punishment
Imposing CRD IV on trading houses, utilities and oil majors makes no sense
Editorial: piecing together the smart beta puzzle
Growth in strategies such as momentum is predicted to slow – but we aren't there yet
Gazprom claims highlight stranglehold over European gas
But EC antitrust probe does not hold the answer to Europe's energy dependence
A paradigm shift on sovereign risk
Opinions changing on capital treatment of government bonds
Could a top prime exit the market altogether?
Credit Suisse seen as vulnerable as it cuts leverage in investment banking
Volatility increases – will revenues follow suit?
Asian forex and commodities markets have seen a spike in volatility so far in 2015
Whizzes assemble: op risk industry gathers for annual conference
OpRisk North America covers maths, psychology and everything in between
Putting FVA in a cage
If banks can't standardise funding charges, accountants or regulators should step in
Firms’ twin fears of complexity and gold-plating
Industry concerned about over-engineering of regulation
EU and US position limits will hit the wrong target
Dodd-Frank and Mifid II won't stop market disorder but will penalise hedgers
Mifid II threatens dealing commissions and broker research
Ring-fenced research pots required to cut out inducements