The shake-em-up economic policies trailed by new US president and so-called “disruptor-in-chief” Donald Trump have left ...
Ascent of bank’s bond trading business comes amid electronification changes in US fixed income market structure ...
Valley National Bank has reduced its commercial real estate loan concentration to its lowest level in nearly nine years, at the cost of severe write-offs and loan sales. In the last quarter of 2024, ...
Post-trade technology firm Osttra has confirmed that it is developing middleware services for US Treasury repo clearing, with ...
A new entrant to the market for clearing cash and repo US Treasuries trades could offer a lifeline for buy-side firms looking ...
The full scale of problems that followed last year’s major overhaul of the European derivatives reporting regime – dubbed Emir Refit – is only now becoming clear, with nearly 25% of trade reports ...
Six US regional banks readying for the reinclusion of accumulated other comprehensive income (AOCI) into capital requirements ...
This study explores the challenges banks in Asia-Pacific face in enhancing operational resilience, and how they plan to ...
The group of roughly six to 10 people will focus on the modelling and simulation of market-wide stress scenarios, Risk.net has learned. The team will work initially on building agent-based models – ...
Debt securities held by European Union bond funds spiked by €102.3 billion ($106.3 billion) in November 2024, marking the ...
In the run-up to Trump’s inauguration, threats of heavy tariffs on imports from China, Canada, Europe and Mexico led to a ...
In early October last year, Luciano Santos, JP Morgan Asset Management’s chief risk officer, convened a snap 20-minute ...