Eurozone crisis
Top 10 operational risks for 2013
Old and new dangers
Sponsored forum: Collateral management
Scope for more efficient collateral movement
Risk interdealer rankings 2012: Dealers
Humps, back-downs and whales
UK banks reveal size of eurozone funding gaps
Banks reduce cross-border funding of peripheral eurozone assets in an attempt to mitigate redenomination risk - but funding gap still tops £10 billion for Spain
European parliament Econ chair confident on eurozone crisis resolution
Sharon Bowles, chair of the European parliament’s economic and monetary affairs committee, believes the end is in sight for the eurozone crisis. She is also positive on co-operation with US lawmakers.
Rare Euro Stoxx 50 structured product launched in the UK
Eurostoxx 50 Supertracker offers UK structured product investors geared exposure to European equities
Lack of governance to blame for Libor scandal, says IMF official
A failure of bank governance is behind the recent Libor rate-fixing scandal – and these kinds of failings could pose systemic risks, says José Viñals
Surviving the euro storm
Surviving the euro storm
Swiss structured product turnover falls by nearly half compared to 2011
Turnover of structured products and warrants listed on the Scoach exchange falls more than 40% in the first half of 2012 compared to the same period last year. Industry figures blame increased risk aversion and a rise in OTC trading activity
Eurozone crisis is a buyers' strike, not an uprising
Eurozone crisis is a buyers’ strike
Fixing the flaw in sovereign CDSs
Fixing the flaws in sovereign CDSs
Spanish banks allowed to ignore default risk for sovereign bonds
Banco de España is one of a number of European supervisors allowing its banks to ignore a Basel 2.5 requirement to model default risk on government bonds
Sponsored roundtable: Focus on Ucits IV
Luxembourg ahead of the game on Ucits IV
Custody Risk winter 2011
Welcome to the winter 2011 issue of Custody Risk
Global Custody Survey 2011
Global Custody Survey 2011