The digital format will create efficiencies in how firms use and interact with the definitions, reducing complexity and the potential for error, ISDA says.
July 16, 2021Harvard Business School, Impact Institute, ABN AMRO, Danske Bank, DBS and UBS aim to create new social and environmental impact reporting rules for banks.
July 2, 2021Smart derivative contracts simplify and accelerate settlement processes of OTC derivatives and create economic advantages for counerparties.
July 1, 2021Cash management products are prohibited from investing in stocks, convertible bonds, or any financial instrument rated lower than AA+.
June 17, 2021MAS wants funds to increase the frequency of liquidity risk monitoring and to extend reporting of significant redemptions to non-retail funds.
May 31, 2021In a joint statement with the stock exchange, the SFC says it will not hesitate to take enforcement action against intermediaries for IPO-related misconduct.
May 21, 2021The rules remove a restriction that prohibited CDS and CLN from being linked to instruments other than non-financial corporate debt.
May 14, 2021Specialists from Bloomberg, Standard Chartered Bank, ING Bank and Clifford Chance discuss IBOR transition challenges and how to address them.
May 3, 2021Climate risks may be underestimated due to a lack of internal scenario analysis by financial institutions, the NGFS warns in a new report.
April 1, 2021Under revised regulations, the deemed residual maturity of perpetual or AT1 bonds would remain 10 years until 31 March 2022.
March 29, 2021