Sweden
Nordic markets warm to central clearing
Regulators across the globe are intent on forcing over-the-counter derivatives through central clearing. How are supervisors in the Nordic region responding, and could the relative lack of liquidity in domestic markets hamper their efforts? By…
ETNs come to Finland with listing on the Nasdaq Helsinki
The Nordic market has been slower to pick up on the trend for exchange-traded products than its southern European counterparts but progress comes with Swedish bank Handelsbanken’s listing of Finland’s first exchange-traded notes (ETN) on the Nasdaq OMX…
Riksbank's Persson: don't shoot CDS "messenger"
The Swedish central bank uses CDS spreads as an indicator of financial stability
Volatility capped access to funds
ING Bank is offering Swedish investors a product that has the classic benefits of allowing access to an unusual and potentially risky underlying while changing its return profile. The product is based on the East Capital Russia Fund, giving local…
Against the grain
Pension fund performance in 2008 was appalling, with funding levels plunging across the globe – but some schemes sidestepped a funding crisis by focusing on effective risk management.
Capinordic expansion
Capinordic Asset Management, part of the Denmark-based Capinordic Bank, is planning to launch a structured products distribution business in Sweden. Pierre Cooper talks to Johan Tjeder, the fund manager who has been brought in to help set up the operation
CROs respond to Swedish stress tests
Chief risk officers have given muted support to the recent stress-testing exercise by Swedish regulator Finansinspektionen to assess whether the country's largest banks have enough capital to survive future stresses.
Sweden's $202 billion guarantee fails to help markets
The Swedish finance minister, Anders Borg, promised SKr1500 billion ($202 billion) in loan guarantees to Swedish banks yesterday, but the country's markets remained sluggish today.
Profile: SEB strives for total operational risk acceptance
STOCKHOLM, Sweden — Within the discipline of operational risk, it's often fancy mathematical models and souped-up databases that executives choose to focus on. But Lars Hansén, manager of Swedish financial company SEB's group op risk team, says it's the…
Sweden’s credit risk maverick
“We don’t like portfolio management,” says Björn Börjesson, executive vice-president and head of the central credit department at Svenska Handelsbanken in Stockholm.