Opinion
How extreme losses will affect op risk capital models
Cluster of huge fines calls for changes in models and regulation
Hong Kong-Shanghai stock connect: believe the hype
Corporate bond and commodity derivative sectors are the prize
Scenario analysis key for more efficient modelling
Assessing exposures and vulnerabilities gives sophisticated risk view
Battle lines drawn as hedge funds eye bank businesses
Lack of long track record may deter investors
Special assets and the bank board: a special relationship
Troubled debt teams can provide valuable op risk insight
Sympathy for the arbitrageur
Life has become more difficult for arbitrageurs - and other market participants should care
Peer-to-peer funding offers alternative finance source
CCP cleared P2P market option in place of prime brokers
How to hedge CVA without being hurt
A new product could smoothe the gap between capital and accounting rules
Editorial: Counting the cost, but making the investment
Are those who assume structured products consolidation is bound to happen mistaken?
You win some, you lose some
Regulators cannot always be as tough or as lenient as they would like
Cyber security – another reason for data storage to go modular
Relational databases are hard to protect; modular storage allows encryption
Lloyds judgement underlines severity of rigging scandal
Rigging liquidity scheme payments adds insult to injury
Time running out to prepare for Mifid II changes
Getting to grips with new rules should be an op risk priority
Handling the risks of a newly aggressive sanctions regime
International banks must exert more care on dollar transactions
Risk management and China's index market: video
Derivatives based on new indexes will increase hedging tools
Banks down, but not necessarily out, in commodities
Wall Street is cutting back, not quitting the market altogether
IASB + FASB = FAIL
Stakeholders have given up hope of accounting convergence
Long-only hedge funds hold key to emerging markets
Paamco posits alternative to ETFs and mutual funds
China's growing influence reflected in Asia Risk awards
Relaxation of Chinese currency controls key to Asia development
Energy markets need more than second-hand credit models
Financial models fall down in energy markets, argues Kaminski
Prudent valuation vs confidence accounting
Accounts shouldn't pretend valuations are exact - but how best to fix the problem?
Arden: AIFMD driving investors to alternative Ucits
Managers faced with a choice of how to operate funds going forward
SEC enforcement priorities for the second half of 2014
US regulator will focus on technology, investor information and settlements
FCA could look to Consob for probability test
UK regulator adjudicates on Credit Suisse and Yorkshire Building Society