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KingsRock Advisors has turned old relationships from Deutsche Bank into an innovative origination network
Canadian banks have high fossil fuel financing and are heavily used as repo collateral
The first half of the year was an eventful and volatile one in the government bond market, and the second half threatens more uncertainty. Sovereign issuers are dealing with steeper curves as investors demand higher term premia. Meanwhile, deficit dynamics are shifting, especially as some countries face up to higher defence and infrastructure spending. GlobalCapital gathered senior funding officials from the EU, Greece, Ireland, Italy and Portugal in June in London to discuss how their funding plans had fared so far, how they are developing their investor bases and how they plan to tackle the uncertainties that lie ahead.
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European investment banks are playing catch-up, even on home turf. Which of them are best placed to challenge the US leaders?
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Taking on AT1 requirements is not what Australian tier two bonds need
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UK water utility offers some stakeholders more fees to try and secure £3bn lifeline
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Rating agency publishes its unsolicited ratings of eight big eurozone banks
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Bond market is positive about next year as the threat of negative interest rates recedes
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Bank’s quest to regain its former status in Europe is making headway, after heavy investments