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Outgoing international affairs chief issues rallying call for Basel III adoption, saying Japan has “kept its promise” ...
At the same time, supply chain risk is increasing due to geopolitical tensions, sanctions and trade tariffs, leading many ...
Asset-liability management (ALM) has always been a core element of banks’ operating behaviours. Now, however, it is ...
However, the US Federal Reserve “is in no hurry to cut interest rates”, Franklin Templeton analysts write, as the economy “continues to remain resilient” and policy-makers anticipate a pick-up in ...
US mutual funds and exchange-traded funds went into April’s tariff turmoil holding the highest net long US dollar position in ...
Accusations by the Indian securities regulator that market-maker Jane Street manipulated the country’s stocks and derivatives ...
Banks have long bemoaned the opaque nature of clearing house margin methodologies. Those complaints intensify whenever stress ...
The authors propose a nonparametric method for estimating extreme quantiles of operational risk reserves by utilizing a lower ...
Even more promising, experts say it could avert a costly tick-box compliance culture that can leave staff disillusioned ...
Standard Chartered has launched a spot crypto trading business, making it the first bank to go live with a spot crypto market ...
Credit providers to US hedge funds sharply hiked collateral coverage for their largest clients in the first quarter, as industry-wide borrowing reached the highest level in at least 12 years.
The rules require firms to prepare for the possibility of much higher volumes being cleared at EU central counterparties (CCPs) in future, but regulators haven’t yet specified exactly how this ...
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