Opinion
Credit risk weighs more on planet S-II
Rising yields in May failed to lift insurance stocks, with credit risk the reason
Smart beta versus structured products: the investor’s conundrum
Many investors favour one approach over the other, belying their similar aims
Energy scarcity warrants tough response to market abuse
Regulators must take energy market manipulation seriously, argues Kaminski
AIFMD encouraging ‘regulatory avoidance’
A round-up of views on hedge fund marketing into Europe
PRA could be more flexible on matching adjustment collateral
Rigid view forces repapering of trades with no benefit for policyholders
Asia Risk 2015 awards – now open for submissions
Singapore the venue for this year's awards
Can anyone be expected to manage a modern bank?
Misbehaviour at banks may not just be result of poor management
Fed rates rise: how much, not how long, is the question
An even harder question to answer is when, once started, will the Fed stop?
Asia Risk awards move to Singapore for 2015
There's a change of venue but the aim remains: highlight best industry practice
Cher of the blame: whose fault was the swaps push-out?
Question is not why provision died, but how it was ever born
FCA ‘makes leaps of faith' justifying BNY Mellon fine - lawyer
A round-up of views on the custodian's £126 million fine
In-depth introduction: Bonds
Interplay between rules could reshape demand for government debt
Cutting Edge introduction: Taming MVA
Lloyds quants tackle computation of margin add-on for derivatives prices
EU commodity trading firms face capital punishment
Imposing CRD IV on trading houses, utilities and oil majors makes no sense
Google can help banks fix their risk data problems
Banks need to embrace radical change to satisfy Basel principles
Editorial: piecing together the smart beta puzzle
Growth in strategies such as momentum is predicted to slow – but we aren't there yet
A closer look at momentum-driven smart beta strategies
Investors seeking returns from momentum strategies should know what’s under the hood
Conduct remedies should focus on value not price
Regulator overlooking wider customer benefits, says PwC's Steve Folkard
HSBC: China A-shares market cap to reach $10 trillion by 2020
Bank expects foreign ownership of Chinese listed companies to increase to 10%
Regulatory arbitrage risk of European Long Term Investment Funds
But new vehicle offers benefits to investors and European economy, says lawyer
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
Rethinking Large-Scale Data Management
Will major firms be able to take a page from hedge funds' playbook?
Could a top prime exit the market altogether?
Credit Suisse seen as vulnerable as it cuts leverage in investment banking