Corporate chiefs are talking as optimistically as at any time in a decade, but not because they’ve unanimously adopted a rosy outlook. Rather, executives these days are ever mindful that machines are ...
We are very aware of the issue and the relevance of the market risk standard for the global level playing field,” says an EC ...
The relief – which was granted in a series of letters sent to Ally Financial, Huntington Bancshares, Santander USA, Truist ...
If asset classes were racehorses in the quant strategy stakes, foreign exchange’s odds would be shortening fast. Banks are ...
For European investors, media firm Altice’s brewing fight with creditors could be a sign of things to come. In March, the French company became the first borrower in Europe to carry out a so-called ...
The firm’s dynamic weighting factor model, which systematically tilts in and out of different investment styles, has delivered 13 consecutive positive quarters. From the end of 2020 until the end of ...
Barclays’ US clearing unit increased its required client margin held for futures and options trades by 5.2% to a new record in March.
The bank’s NSFR was down 6.5 percentage points from the prior quarter, leaving it just 85 basis points above the regulatory ...
Massachusetts Mutual’s vast portfolio of interest rate swaps grew 8% to reach $316 billion in notional in the fourth quarter ...
S&P Global Market Intelligence explores possible credit contagion effects from the corporate sector to real estate by using S ...
“Refinancing early is something that has become very frequent,” says Jérôme Legras, head of research at Axiom Alternative ...