Interview
SEC’s Piwowar doubts CCPs should clear some instruments
Concern that historical price series volatility will not reflect jump-to-default risk
Q&A: JFSA's Shirakawa on Basel III buffers
"Clarification is now urgently needed" on counter-cyclical buffers, says JFSA deputy commissioner
Tendance Finance sees risk in ETF liquidity
French hedge fund also fears regulators may cap leverage and curtail shorting
Q&A: Bursa Malaysia looks to develop domestic equity derivatives
Chong Kim Seng, CEO of the exchange's derivatives arm, explains why growth has been slower than expected
Q&A: SRB’s Elke König on resolution regimes
Chair of Europe's new bank resolution board says derivatives are not "sacrosanct"
Q&A: Avinash Persaud on the structural risk in Solvency II
Directive will herd insurers into 'safe' investments that turn out to be risky, says writer and academic
Niche services growing in forex prime brokerage – RBS
Competing purely on price no longer enough
More central banks should oversee financial stability – Zeti
Malaysia central bank chief urges giving peers greater regulatory powers
Ucits VI threatens derivatives in alternatives funds, says Candriam
Sixth iteration of directive could pose danger to portfolio risk management
Q&A: Belgian watchdog on Mifid, Priips, war on complexity
Belgian markets watchdog defends its curbs on one of world’s structured products capitals
Q&A: Iosco’s Medcraft on CCP stress testing
CPMI-Iosco launch fact-finding mission on CCP risk management
Q&A: OCC’s Dugan warns op risk managers over new products, third parties
Banks must exercise caution as they adapt to changing demands of industry, says Beth Dugan, OCC head of op risk
Q&A: Finma’s Branson on Swiss banks and the Swiss franc
CS and UBS have "reshaped and resized", but risk to Swiss economy needs to be cut further
Q&A: Eiopa approach wrong on government bonds, says Ivass director
Corinti: Modelling sovereign risk should not be a Pillar 1 requirement
Omni: central banks pushing investors into risky assets
Inflation not driven by strong economic growth; symptoms of a financial bubble
Q&A: Bursa Malaysia looks to build on its palm oil derivatives market
Volatility has driven up volumes and the exchange chief is looking to expand
Q&A: SNB's Danthine on the Swiss franc and market risk
Market participants "must ensure they are capable of bearing losses", says SNB vice-chair
Q&A: Business veteran Nesbitt on sharing risk management burden
New head of Canada's risk institute says risk management benefits from multiple actors
Q&A: Standard Life's Singh on changes in risk management
Regulation and tough markets put risk centre-stage, says CRO
Winton sees problems with big data analytics
Social media and live newsfeeds not so far useful, hedge fund says
Q&A: TSB's risk chief on op risk, incentives and transparency
Neeta Atkar highlights clear communication and focus on customer service over sales
Q&A: the Bundesbank’s Andreas Dombret on small banks, big banks and shadow banks
Supervisors are “miles” from being able to monitor shadow banking risks, says financial stability head.
BlueCrest: fixed-income market structure faces uncertain future
COO in interview cites equity-like evolution and regulation squeezing liquidity
Q&A: Finansinspektionen's Uldis Cerps on capital floors and too-big-to-fail
Floors framework should not overstate risk, says Sweden's bank supervision chief