Video
Sponsored Q&A: BNY Mellon
Counterparty concerns and transparency drive prime custody growth
Sponsored webinar: IBM
Achieving Solvency II compliance while increasing business performance
Sponsored webinar: Ernst & Young
Basel III and liquidity – Going all the way
Sentiment could enhance risk models, says Algo’s Macdonald
Market sentiment could eventually be used as an input for risk and trading models, helping to predict future events, says John Macdonald of IBM Algorithmics
Long-dated options best way to hedge tail risk, says 36 South
Investors and hedge fund managers are trying to find effective and cost-efficient ways to tackle tail risk. One way to hedge this risk is through long-dated options, because they offer convexity.
Don't blame the quants, says Merton
Quantitative models were unfairly criticised in the aftermath of the financial crisis, says legendary quant and co-creator of the Black-Scholes equation, but there’s plenty for quants to work on in the current environment
OpRisk Europe 2012: Video
Highlights of the keynote speeches and discussions from this year's London conference
Sponsored Q&A: Moody's Analytics
Stress-testing scrutiny – The leading edge in risk management
Sponsored webinar: Regulation
ETF Risk: Industry anticipates Esma
Sponsored webinar: MetricStream
Improving risk governance throughout the organisation
Managers need to embrace transparency
Simon Ruddick, co-founder and managing director of hedge fund advisory Albourne Partners, speaks frankly about how managers should use transparency to become more attractive to investors.
Cheyne Real Estate Debt Fund: Cheyne Capital Management
12th European Single Manager Awards 2012
CCP Quantitative Fund: Cantab Capital Partners
12th European Single Manager Awards 2012
GAM Convertible Bond Hedge Fund: GAM International Management
12th European Single Manager Awards 2012
Webinar: Solvency II and the asset data management challenge
Solvency II presents considerable challenges for insurers and asset managers in terms of asset data management. Yet it is an area which to date has received relatively little attention. This webinar, in conjunction with BNY Mellon Asset Servicing, brings…
MaxQ Fund: North Asset Management
12th European Single Manager Awards 2012
Man Tail Protect: Man Investments/GLG Partners
12th European Single Manager Awards 2012
Sponsored webinar: OTC derivatives clearing
Preparing the ground for the derivatives deadline
Lombard Odier advocates different approach to asset allocation
Hubert Keller, managing partner, asset management, at Lombard Odier Investment Managers says investors are making fundamental changes in the way they approach portfolio and hedge fund allocations.
Crispin Odey gives views on hedge fund regulation
Crispin Odey, winner of the outstanding contribution to the industry award at the 12th European Single Manager Awards 2012, talks about hedge funds, performance, regulation and politicians.
Challenges and opportunities for Isda in 2012
Challenges and opportunities
Tentative on G-20 timelines for OTC derivatives clearing
Tentative on G-20 timelines
Euro crisis could cause full EU break-up, warns ex-BoE official
John Gieve, former deputy governor for financial stability at the Bank of England, warns of an "explosion" waiting to happen in the EU
Sponsored Q&A: BNY Mellon talks about the challenges and opportunities from regulation
Challenges and opportunities emanate from regulation