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2016 marked a watershed for the sovereign bond market. European bonds underwent a sharp selloff in Q4 2016, this when the year had kicked off on a bullish note that lasted right through to September. The political events in 2016, the outlook for growth and for inflation and (...)
In a joint-statement, BNP Paribas Corporate & Institutional Banking and Exane BNP Paribas announced that they have strengthened the senior management in their respective Equity Capital Markets (ECM) and Cash Equities businesses with the appointment of three senior (...)
This research paper focuses on the inseparable relationship between implied repo rates and equity index total return swaps. Written by Stuart Heath, Director Equity & Index R&D at Eurex, it covers the various aspects and calculations of both repo rates and the (...)
Equities continued to make new highs as we moved into 2017, but we are mindful that the outlook is littered with macro-economic and political risks – not least the forthcoming elections in France, Holland and Germany, Article 50, and President Donald (...)
Nomura Asset Management Co., Ltd., the core company within the Asset Management Division of the Nomura Group, announced a plan to launch a new exchange traded fund (ETF) designed to track the performance of the “Nikkei 225 High Dividend Yield Stock 50 (...)
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