Monetary policy
The usual upsets
Regulation
'Improvement in market conditions' sees Fed cut bank aid
The US Federal Reserve Board has cut back several of the support facilities put in place over the past 18 months, arguing the recovery of the financial markets has made them unnecessary.
Financial pricing for the 21st century
Putting a price on assets for which no active market exists is a process mired in complexity and no little controversy. But the pricing models of yesteryear are simply not up to the job. David Patrikarakos looks at the new generation of valuation models…
Robert Stheeman
The head of the UK's Debt Management Office, the body responsible for administering the wave of recent government issuance, tells Sarfraz Thind that the recent failed auction doesn't spell a death of demand for gilts
Mastering the flood
Special Report - China: Risk management
Fed increases security purchase plans
In an effort to resuscitate private credit markets, the Federal Open Markets Committee stated today that it would purchase up to $300 billion in long-term US Treasury securities over the next six months.
Bernanke: Public-private partnership required to value toxic assets
The involvement of both the public and private sectors is essential to accurately value illiquid assets before public funds are used to remove them from dealer balance sheets, Federal Reserve chairman Ben Bernanke claimed yesterday.
Headed for a fall
Annuities and deflation
Discussing distressed debt - A roundtable
One area that looks poised to benefit from the turn in the credit cycle is distressed debt, with funds readying themselves to take advantage of any opportunities that may arise. Six thought leaders of the industry consider the outlook for distressed debt
High five for distressed investors
There is a celebratory mood amongst distressed debt investors. Having spent several years scratching around for opportunities in a raging bull market, their cup now runneth over. We profile five leading funds in the distressed arena
Joyce Chang
The head of emerging markets research at JPMorgan talks to Dalia Fahmy about how the sector is adapting to the upheaval in the the global markets
The FX effect
US bond funds that invest in international assets have seen their returns hit by the recent rally in the US dollar. Dalia Fahmy looks at how fund managers are trying to insulate themselves from exchange rate movements and gauges market opinion on which…
Don't bet on the bank
The failure of a major investment bank. The bailout of the US mortgage agencies. The rumoured demise of further financial institutions. Now does not seem like the ideal time to be investing in the financials sector. Or does it? Laurence Neville reports
Clearing a path to lower op risk
Counterparty risk
Structured credit's re-formation
The structured credit market has been blamed for much of the turmoil in credit and, by association, the wider global economy. But many market participants remain convinced that structured credit has a major role to play in the financial landscape of the…
Broadening horizons
Structured products
Asia sets the pace
Asia Risk Technology Survey 2008
The state of freight
With freight derivatives volumes at record highs, investor products are now being developed in the shipping derivatives market. Ryan Davidson looks at whether the market has matured sufficiently to attract investor interest
LDI and beyond
Pension Risk Management