News

The first two weeks of April saw required margin for futures and options across US futures commission merchants (FCMs) soar ...
The market volatility that followed US President Donald Trump’s back-and-forth tariff announcements has had financial ...
When US Treasuries began selling off sharply in early April, some in the markets – and the financial press – could be ...
Electronic bond trading platforms see spike in volumes and small growth in market share, Risk.net analysis shows ...
Jean-François Bala will become chief executive officer at Crédit Agricole Corporate and Investment Bank (CA CIB) from May 6.
The Bank of England plans to combine its newly designed system-wide stress test with traditional firm-level stress tests into ...
The year 2022 turned out to be a “relatively quiet” when it came to cyber attacks, said Jess Fung, North American cyber ...
Traders are underpricing the risk posed by uncertain US trade policy, say economists at Johns Hopkins University.
In the newly created role, Ungari will lead the development of new systematic strategy indexes on a cross-asset basis, overseeing a 30-strong team of QIS structurers. She reports to global structuring ...
On April 17, the US Federal Reserve proposed revisions to its annual stress test framework, including linking a bank’s stress capital buffer (SCB) to the average Common Equity Tier 1 (CET1) capital ...
The losses, which a senior rates trader at a European bank estimates at more than $1 billion across banks and hedge funds, came from forced unwinds of levered linear and options-based bets on Bank of ...
Rules forcing large portions of the US Treasury repo market into central clearing could increase volatility in the secured ...