Earlier this year, credit traders hoped a new credit default swap (CDS) index would help them hedge their exposure to North ...
The authors investigate the relationship between bankers' risk-taking and bonus caps, finding negligible evidence that bonus caps reduce risk taking at the ...
One of the most important direct effects was the entry of a number of new operators into the market, which thus increased competition in the generation and supply of gas and electricity, giving ...
Morgan Stanley’s capital requirements for credit valuation adjustment (CVA) risk skyrocketed 42% in the third quarter, driven overwhelmingly by charges computed under the simple approach, where the ...
BlackRock’s foreign exchange trading head has backed the development of an all-to-all venue for FX swaps to improve price ...
In the world of high-frequency trading, nanoseconds gained in trade execution can mean the difference between success and ...
Mizuho Financial Group faces the largest impact among Japanese systemic lenders under the fully phased-in Basel III output floor.
Bank of America is looking to build a trading business focused on US synthetic risk transfer (SRT) deals, according to six ...
BNP Paribas has been taking the fight against clients abusing their pricing skews to a new level, putting out a mix of real ...
Broader collateral set and greater margin transparency could be adopted from Emir 3.0, but not active accounts requirement ...
Financial services firms are increasingly moving pricing and reference data to the cloud to streamline operations, reduce ...
Financial services firms are consuming more data than ever to drive a number of front- and middle-office use cases, including ...