Hedge funds and foreign exchange options dealers are on high alert for a further round of intervention in the Japanese yen, ...
Goldman Sachs was the counterparty to almost half of the $47.7 billion in credit options reported by US mutual funds and ...
Among many questions facing new UK finance minister John Healey, reviving a troubled market for gilts is one of the most acute. His predecessor, Rachel Reeves, looked to put HM Treasury on the front ...
Lars Hupel is Chief Evangelist at Giesecke+Devrient. A software engineer with an interest in modern payment services, Lars is frequently invited to public lectures and workshops for banks and central ...
US money market funds’ (MMFs) reverse repurchase agreements cleared through the Fixed Income Clearing Corporation (FICC) reached a record high in June, lifting their investments outside the Federal ...
The challenges of calculating sovereign climate risk and the steps taken in this direction by Scientific Climate Ratings ...
Just over a year after a European Union rule obliged its derivatives market participants to clear a representative portion of ...
Learn how to apply the three lines model effectively in a financial institution and address common implementation challenges.
Foreign exchange dealers are seeing a wave of Chinese corporates increasing their risk management capabilities, tapping into ...
This paper investigates proposals on equipping payment systems with offline functionality, and offers suggestions on what an ...
Returns on popular hedge fund strategy dwindle to as little as three basis points, while dealers make use of softened capital ...
Barclays’ liquidity coverage ratio (LCR) fell to its lowest level in three years as an increase in modelled stressed cash outflows outweighed broadly stable holdings of high-quality liquid assets ...