Popular volatility-selling products such as covered call exchange-traded funds (ETFs) and quantitative investment strategies (QIS) will likely keep a lid on market volatility in 2025, traders say, but ...
In particular, some senior figures say futures contracts have become the primary pricing reference point for the Commonwealth ...
On the face of it, banks have split into two equal camps when it comes to the development and roll-out of artificial ...
HSBC’s stressed value-at-risk (SVAR) flared up to a six-year high in the second half of 2024, driven by higher sensitivity to modelled interest rate shocks.
Japan Securities Clearing Corporation is introducing a sponsored model for offshore investment firms seeking to clear ...
The acting chair of the Commodity Futures Trading Commission has said the US will not introduce regulations similar to the EU ...
Environmental, social and governance ( ESG) investing is gaining momentum across major economies, with a growing range of ESG products.
The carbon emissions market is rapidly evolving, driven by growing demand for European Union Allowances and a constrained supply that is expected to put upward pressure on carbon prices. As carbon ...
Led by JPM, Wells Fargo and Capital One, every major bank reported higher losses in AOCI, in reversal of previous quarter’s recovery ...
Post-crisis regulations called for bolstering the on-balance sheet liquidity profiles of global systemically important banks (G-Sibs) and giving CCPs first crack at these assets in the event of a bank ...
Rule-makers diverge from Basel III standards, denting aims of comparability and fuelling fears over fair competition ...
Expectations are rising that the Securities and Exchange Commission will delay the start of its US Treasury clearing mandate ...
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