International

    Anti-Money Laundering

    New Report Highlights Ineffectiveness of Global AML/CTF Systems

    By Manesh Samtani | 25/07/2020

    A lot of countries may have strong AML/CTF systems in place, but in practice they are not working, says a new report from the Basel Institute on Governance.

    Climate Risk

    Inconsistent Data Hindering Quantification of Climate Risks: FSB

    By Manesh Samtani | 22/07/2020

    Multiple layers of uncertainty on the course of climate change give rise to a lack of consistent data and methodologies for translating potential outcomes into financial exposure estimates.

    Market Data & Technology

    Bloomberg Begins Publishing IBOR Fallback Rates for Derivatives

    By Editors | 21/07/2020

    The calculations being published include the adjusted RFRs, the spread adjustment and the ‘all in’ IBOR fallback rates for certain key IBORs across various tenors.

    Market Risk

    Beyond FRTB: Risk Management and Enterprise Data Opportunities

    By Editors | 20/07/2020

    FRTB is a significant global industry challenge, but the process to achieve its outcomes can harness value from data that can be applied throughout a bank’s operations.

    Capital Adequacy

    G20 Officials Pledge Further Support to Global Economy

    By Editors | 19/07/2020

    The G20 officials have pledged to continue using all available policy tools to help support the global economy and enhance the resilience of the financial system.

    Supervision & Enforcement

    ESMA Opens Probe Into Germany’s Wirecard Response

    By Editors | 19/07/2020

    ESMA’s fast track assessment will focus on whether BaFin and accounting watchdog FREP properly applied European guidelines on enforcing the reporting of financial information.

    Clearing & Post-Trade

    Optimising the Libor Switch with Portfolio Compression

    By Editors | 17/07/2020

    TriOptima’s multilateral approach to portfolio compression is helping the sell-side and buy-side alike to reduce Libor risk, optimise capital, and enhance operational efficiency.

    Sustainable Finance

    The Role of Derivatives Markets in Sustainable Finance

    By Editors | 16/07/2020

    The derivatives market can contribute in the transition towards a low-carbon economy, due its ability to facilitate capital-raising via the hedging of risks related to sustainable investments.

    Emerging Prudential Risks

    Financial System Still Vulnerable in Recovery: FSB Chair

    By Manesh Samtani | 15/07/2020

    Funding markets remain at risk of liquidity stress, volatility in markets may return, and assets are at risk of a “sudden and sharp” repricing.

    Anti-Bribery & Corruption

    Sustainable Supply Chains and the Role Banks Play

    By Editors | 14/07/2020

    Incoming rules from the EU, UK, Singapore and Hong Kong highlight the need for banks to gain a better understanding of the third party and supply chain risks their customers face.

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