European Union (EU)
Black Wednesday chancellor says turmoil fears following UK withdrawal overblown
Verdict due on March 4 in first of three UK complaints about eurozone clearing
Emir segregated accounts pushing firms to trade OTC, says Jones
A highly engaging intensive one-week programme designed to meet the demands of the risk professional by bridging the gap between theory and practice in financial risk management. Save your seat now: programme starts March 23rd 2015.
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Firms struggle to work out reporting mechanics before October deadline
ABSTRACT This paper uses network formation techniques based on a theoretical framework developed by Hałaj and Kok to construct networks of lending relationships between a large sample of banks and nonbanks...
Zest for subsidies could threaten plans for unified EU electricity market
Questions over policy design and coverage blight nascent industry
Extension of maturities and lower interest rates more likely
EC and Acer guidance generates questions about process and liability
This paper analyzes the factors influencing the sovereign credit ratings of the new EU member states along with potential entrants. We model the ratings of the three rating agencies using a range of macroeconomic...
EU law threatens to engulf commodities industry in financial rules
EC director-general optimistic on future of single supervisory mechanism
US and Europe must recognise third-country rules as equivalent sooner
Finances still need to be fixed across the EU, tests find
OTC derivatives volumes rise amid optimism about natural gas
Greater role for risk management in strategic plans proposed
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.