Structured products
Regulator interview: Consob in the spotlight
Rousing the regulator
Sponsored statement: Controlling volatility to reduce uncertainty
Controlling volatility to reduce uncertainty
Bond investors bullish on sub-Saharan Africa
Debt investors are looking to sub-Saharan Africa, where strong demand for commodities is propelling high growth.
UK structured products stuck on repeat
An unfavourable pricing environment and investor caution is resulting in a series of familiar structures in the UK market. A few variations in underlying are evident but all come back to income
Société Générale Private Banking appoints new chief exec in South Asia
The private banking arm of Société Générale has made Olivier Gougeon chief executive of its South Asia operations
Nasdaq OMX and DWS Investments launch volatility control index
Nasdaq OMX and DWS Investments add volatility control to the Nasdaq 100 index for US investors who want equity exposure with reduced risk
Axa IM to lend funds secured by ABS
The essential ABS
Structured products
Special report
EC prepares new consultation on structured products
A widened scope
ETFs under the spotlight amid high correlation
All together now
Middle East maelstrom
Middle East maelstrom
CIC gets Fed approval for Morgan Stanley stake
The Chinese sovereign wealth fund has committed to the US Federal Reserve that its interest in Morgan Stanley will remain a passive investment and that it has committed to not exert controlling influence over the bank
Bloomberg launches derivatives valuation service
Bloomberg has launched a derivatives valuation service that aims to increase transparency and flexibility in the market
Lyxor Asset Management: Meeting change head-on
Meeting change head-on
Deutsche Bank adds Joshi to buildout
After resigning Barclays Capital on July 9, Dixit Joshi, formerly head of equities for Emea and Asia-Pacific at the UK bank has joined Deutsche Bank in a similar role
Dynamic future for post-Solvency II asset allocation
Solvency II is set to dramatically overhaul insurers’ approach to asset allocation – with potentially dramatic consequences for the bond markets. Aaron Woolner reports
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