Federal Reserve
Adios AMA: Basel proposal to bin op risk models worries banks
Firms doubtful about risk sensitivity of standardised replacement charge
Fed support high on wish list for buy-side repo clearing
Risk USA panellists want liquidity support for planned new services
Copycat living wills may see dealers avoid US fines
Banks share law firms in bid to avoid sanctions, say lawyers
FDIC’s Hoenig seen as main threat to banks’ living wills
FDIC vice-chair is “driving this agenda to reject the plans”, says one lawyer
O'Malia: US margin splits ‘very difficult’ for OTC market
Isda CEO criticises clashing rules on bilateral margin
Winds of change will continue to roar for energy markets
Financial crisis and shale revolution show nothing is certain - Kaminski
G-Sibs fret as Fed mulls including surcharges in CCAR
Surcharges are excluded from CCAR in 2016 but could be factored in from 2017
Custodial sentence: G-Sib charge hits 'riskless' business
Treating custody deposits as wholesale funding increases risk, critics say
Liquidity events becoming more common, buy-siders claim
US Treasury market has seen eight intraday moves exceeding five standard deviations since 2012
UK banking regulator adds to board, and other recent job news
Thorburn and Bryson join PRA as independent board members
US custodians face G-Sib capital hit
Banks warn treatment of deposits could raise custody fees
Deutsche Bank hires, and loses, in sales
The latest people moves
Bank war on deposits to continue despite US G-Sib relief
Excess cash still too expensive to hold, say dealers
Big banks claim to be ready for Volcker
Industry tying up 'last loose ends' with ban to begin on July 21
Fed economist sees gaps in CCP risk management
Quant Congress USA: CCPs struggle to model conditional losses and auction behaviour
US rules on foreign banks criticised by SRB’s König
Local holding companies are a “step in the wrong direction”, says European resolution chief
Santander op risk head aims to "get off bottom rung" after CCAR fail
Bank fell short this year on qualitative op risk governance issues
New rules 'redefining' commodities market – Citi’s Staley
Regulation and oil prices are two biggest trends, says commodities head
Tarullo: few signs of illiquidity in OTC markets
Fed governor says markets are in transition
Fed rates rise: how much, not how long, is the question
An even harder question to answer is when, once started, will the Fed stop?
Could TLAC kill the structured notes business?
FSB proposals exclude structured notes from banks’ bail-in debt buffers
What if operational risk asked more 'what if' questions?
Banks and regulators urged to up their game in stress tests and scenario analysis
Fed takes hands-on approach to thrift-owning insurers
Savings and loan holding companies get used to closer scrutiny
Banks call for compulsory exams for FICC professionals
Better conduct could come from proven knowledge of markets and ethics