Aviva
Libor webinar series – Liability-driven investment fund managers and investors
Nobody knows what will happen to Libor at the end of 2021, but the market has to be ready for anything – including the benchmark’s demise. This continues to be the message from regulators, despite the havoc caused by the Covid-19 pandemic. The coming…
Managing the cost of transition and the risk of delay
A forum of industry leaders, which includes sponsors of this report, discusses key industry concerns around the transition away from Libor, including the risks investors will face once the rate is discontinued and how to manage them, whether forward…
Navigating the impact of climate risk on financial stability
As uncertainty abounds on the impact climate change may have on the industry, financial services firms must best equip themselves for potential regulatory and socioeconomic changes to ensure they maximise the opportunities of embracing new best practices…
Europe eyes the pitfalls of Japanification
Does the cultural and demographic experience of Japan apply to a heterogeneous grouping of nations that have no common monetary policy or a unified social outlook?
How leading firms are preparing for the shift from Libor
Driven by declining liquidity in the unsecured interbank lending market, firms face a significant amount of planning in the lead up to 2021. Engrained in the very fabric of financial service providers, there is a warranted degree of uncertainty and…
People moves: Basel names new leaders, forex exits at BNP Paribas, and more
Latest job changes across the industry
Effective collateral management strategies
Sponsored webinar: Calypso
No subordination: Aviva’s clever matching adjustment repack
Insurer's repack vehicle issued only single senior note
Matching adjustment repack structures revealed
Public company filings show details of Aviva’s single senior note structure, L&G’s £6 billion forex repack
Profile: Aviva's capital planning after Friends Life takeover
Capital management director Marcus Bowser explains UK insurer's aims
Q&A: Aviva on op risk management, modelling, and conduct
Insurer’s head of op risk and Oric chairman promotes holistic approach
SG delivers accelerated growth on the FTSE 100
SG is the issuer but there is a link to four other UK institutions
SG launches six-year at-risk product based on FTSE 100
Societe Generale sets barrier at 60% in income product for UK retail
Westpac appoints two in Hong Kong, and other recent job moves
Steven Yu and Alex Tam join Australian bank
Structured products platforms face capture in the RDR net
Sins of commission
European Single Manager Awards 2013 winners
Profiles of and video interviews with some of the winners of the European Single Manager Awards 2013
CLO market appeals to yield-hungry investors
Post-financial crisis structured credit has been in hiding: but 2013 has seen the re-emergence of the collateralised loan obligation (CLO) market, with yield-hungry Asian players demonstrating a strong appetite for the paper
Insurers gear up for new derivatives clearing rules
All clear ahead