Giles Corner joins US asset manager Baird ’s global investment banking business as managing director in its global financial ...
A year ago, global standard-setter Iosco blasted two credit-sensitive rates for puny liquidity in underlying markets, ...
While classic dispersion trades see investors pair a short position in the volatility of a major index – typically the S&P ...
Like a good doctor, a good risk manager knows that prevention is better than cure. When banking crises blow up, risk ...
Institutional participation in cryptocurrency options trading is being hampered by a lack of principal market-makers, with ...
“The Cayman Islands is growing in significance as a destination for life reinsurance activity,” the rating agency said in a ...
The delayed replatforming of London Stock Exchange Group’s spot and forward foreign exchange trading venues onto upgraded ...
US money market fund (MMF) repos funnelled through the Fixed Income Clearing Corporation (FICC) surged 17.8% to a record $634 ...
Florian Ielpo saw in August’s market turmoil a practice run for buy-side risk models ahead of the upcoming US election. The positive conclusion, he reckons, is that models that misfired in recent ...
Stuart Simmons, new head of GFXC working group, wants trading platforms to come clean on how they use client data ...
CME Group chairman and chief executive Terry Duffy has talked down the CME’s prospects of victory in the US Treasury clearing ...
Scotiabank’s securitisation risk-weighted assets (RWAs) under the standardised approach (SEC-SA) surged more than fivefold in the third quarter, while exposures calculated using the external ...