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Former regulators doubt the three US prudential agencies will be able to release fresh proposals implementing internationally ...
Numerical experiments on realistic parameter sets, applied for the Heston model, display high precision Only users who have a paid subscription or are part of a corporate subscription are able to ...
ABN Amro’s trading volume of equity and other securities – one of the 14 systemic risk indicators used by the Financial Stability Board (FSB) in its annual assessment of global systemically important ...
Fewer than 30 technology providers will be classified as critical vendors to the financial sector under the European Union’s ...
Euronext and Cboe have expressed a willingness to collaborate on harmonising European single stock option product specifications in a bid to compete with US markets.
Tokenised collateral is unlikely to see widespread adoption anytime soon, according to clearing banks, despite a series of recent tests proving its viability.
A senior risk manager at the first major global bank to use internal models to measure market risk under new capital rules, known as the Fundamental Review of the Trading Book (FRTB), has compared the ...
“This is the decade where the greatest risk is to run for the hills,” said Burkhard Varnholt, now senior financial markets adviser in UBS’s Chief Investment Office. “Stay invested at all times because ...
European regulators must focus on competitiveness when redesigning financial rules to prevent overburdensome regulation, according to Julia Kolbe, head of capital markets policy and UK at Deutsche ...
An increasingly unpredictable economic environment leads investors to look for a wider range of products to satisfy evolving ...
Taiwanese life insurers are expected to increase foreign exchange hedging after recent tariff-driven market volatility led to ...
Latest systemic risk scores for JP Morgan, Citi, Goldman and Morgan Stanley could lead to extra 50bp to their respective capital surcharges ...
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