Latest Asset Management Analysis
The financial industry is adjusting to life after Libor but the final solution is far from clear
Leading figures of the transition management industry met in London to discuss improving transparency, the impact of Mifid and plans for the future.
Europe's financial regulator has Brexit, CMU, investment management, securities finance and innovation on its 2019 priority list
The final part of our three article series on the future of collateral management
The second part in our three part series on the future of collateral
The first in our three part series on the future of collateral
Luxembourg fund experts discussed the challenges and opportunities related to Brexit and changing global fund regulation
Most of the world's asset managers and hedge funds are set to become subject to uncleared margin rules in 2020
Charl Bruyns, head of investor services at Standard Bank Group
Osman Raie, Managing Director and Senior Advisor - Saudi Equities
By Dan Rudd, executive director, JP Morgan
AxeTrading took home the award for Fixed Income Trading Platform of the Year at...
The new strategy developed by Amundi ETF combines two offsetting equity market...