Asean
Risk FX Briefing: Event insights
What lies ahead for investment managers
Asia Risk Congress 2016: The new risk management landscape
Sponsored video: MSCI
Lack of post-trade focus slows Asean integration, says DBS chief
Clearing and settlement infrastructure needs to be set up to boost cross-border trading
Malaysia's missed opportunity in equity derivatives
Asian financial crisis saw Malaysia move from vangard to slow lane of Asia's markets
Malaysia bank CROs slam Basel capital floor proposal
Basel Committee proposal incentivises risk taking and disincentivises good risk management
Top Thai regulator advises Asean peers to open markets slowly
Bank of Thailand director warns of financial liberalisation dangers
Philippine Stock Exchange partners with SGX for equity futures – Hans Sicat profile
PSE chief Hans Sicat views cross-border partnerships as vital for development of Asean exchanges, although domestic regulation creates some obstacles
Asean importers increase forex hedging in expectation of dollar liquidity tightening
The relaxation of the Fed stance on tapering hasn't reassured South-east Asian corporates
Asean Risk 2013: Use of credit ratings in Basel III provides risk weighting that ‘defies logic’
Economic fundamentals, not credit ratings, should drive Basel III risk weightings, argues CIMB markets head
Special report: Asean
Special report: Asean
Structured products prepare for growth in Asean region
Product placement
Singapore set to be RMB gateway to Asean region
Trade lines
Local regulators push for consistent standards across Asean region – Thai SEC interview
Underpinning the integration of regional capital markets is a major concern for Vorapol Socatiyanurak, secretary general of Thailand's Securities and Exchange Commission
Thailand backs cash equity CCP linkage model
Proposal for CCPs to act as clearing members for each other receives backing of Thai regulator
Asia steel derivatives market struggling to compete with iron ore
Steeled for the fight
Photogallery: ASEAN Risk 2012
Free-to-view photographs from the ASEAN Risk conference held in Singapore on May 28, 2012
Lack of local market-makers hampers the development of Asean ETFs
A reliance on external players is holding back the ETF sector in Malaysia and Indonesia
Asian trade finance at risk from Basel III
Paul Harrald of Standard Chartered tells Asean Risk 2012 conference that Asian banks providing trade finance services will struggle to meet Basel III rules on leverage ratios
Eurozone crisis to have limited impact on southeast Asia – Asean Risk 2012
Resilience in regional markets will insulate Asian nations from any European slowdown, say economists during Asean Risk 2012 roundtable
Asian banks disadvantaged by Basel Accord – Asean Risk 2012
The Basel III Accord has been framed purely to fix the failures in the US and European banking system and is placing an unfair burden on Asian financial institutions, according to speakers at Asean Risk conference.