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All the articles related to risk management
Debtwire hosts its seventh European forum at the Dorchester in London today. Senior bankers, lawyers, investors, financial sponsors, corporate finance and debt advisory specialists will provide their insight on the current state of the debt market, spanning from primary (...)
According to SNL Financial, for Germany’s banks, the ECB stress test highlights poor returns and profitability, rather than their asset quality.
An ageing global population, a thirst for credit in emerging markets and an ever more complex regulatory environment for Western banks are reshaping the opportunities open to investors in the financials sector, according to Robert Mumby, manager of the Jupiter International (...)
If the vote for independence is successful, Scotland’s sovereign risk rating could be in the BBB lower investment grade region, according to Director of Sovereign Risk Analysis Jan Randolph of IHS.
According to Schroders Azad Zangana, European Economist and Chris Ames, Senior Fixed Income Portfolio Manager, the cut in interest rates is totally irrelevant. Due to the glut of liquidity in money markets, short-term interest rates have been below the ECB’s main financing (...)
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