News

Europe’s banking watchdog is planning to streamline how it authorises credit model updates. Not a moment too soon, say ...
Op Risk Benchmarking data shows more flux – and less confidence – in indicators tracking vendors versus other risks ...
HSBC’s gross stage 2 loans surged by $24 billion in the first six months of 2025, driven by updates to its probability-of-default models and worsening conditions in Hong Kong commercial real estate ...
Risk management Top 10 operational risks for 2025 The biggest op risks as chosen by senior practitioners – and what they’re doing about them ...
Ninety-one percent of banks have specialist teams for resilience risk Latest survey shows regulatory pressure is driving broader framing of resilience, beyond IT and cyber ...
When you buy a car, a phone, or a toaster, you expect the manufacturer to have conducted tests to ensure the device is safe ...
CME Group is establishing ties with key vendors to expand the distribution of primary market foreign exchange liquidity from ...
Tom Prickett, who until recently was head of Europe, the Middle East and Africa (Emea) rates trading at JP Morgan, has moved ...
Barclays’ US clearing unit has overtaken BofA Securities in client margin for swaps, reclaiming its position as the ...
In recent years, deep learning models have gained traction in predicting high-frequency equity returns by leveraging order ...
When then US president Donald Trump nominated Judy Shelton for a seat on the Federal Reserve board in 2019, it triggered a ...