The secretary general of the Financial Stability Board, John Schindler, has warned that industry resistance to oversight of ...
Joshua White meanwhile returns as chief economist and director of the division of economic risk analysis. He replaces acting ...
Money market funds (MMFs) scooped a record $8.31 trillion of investments at the end of last year, capping off a year in which overall holdings grew by more than $1 trillion for only the second time.
Dealer-backed FXSpotStream is set to move into the US Treasury market by launching a new fixed income trading platform supporting direct, streaming-based liquidity between dealers and hedge funds.
Buried within a 4,500-page financial statement for an Apollo-owned insurance company lies a 20-year relic of the global ...
Jamie Gavin, head of prime brokerage clearing for Europe, the Middle East and Africa at Societe General, has left the bank to ...
Traditionally, the mammoth local life insurers need to buy Taiwan dollars (TWD) in large clips to hedge their mainly US ...
Funds required to be set aside for F&O ended the year at $338.6 billion across 49 FCMs, up $55.9 billion or 19.8% over 2025. Both the absolute and proportional increases were the second highest in the ...
Financial firms are increasingly open to using a wider variety of collateral when posting variation margin on uncleared derivatives. But concerns, including ...
After the collapse of Silicon Valley Bank in 2023, regulators generally agreed that US banks had become too dependent on the Federal Home Loan Bank (FHLB) system for funding, and that they needed to ...
PNC Bank is the US regional lender with the largest exposure to the private credit sector, second only to Bank of America, Risk Quantum analysis shows.
A European Commission proposal to create a new closing price, drawn from multiple closing auctions and published on the ...