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Europe’s self-proclaimed investment banking champions are playing to their strengths, but remain far behind US peers
After quitting M&A and equity capital markets in Europe and the US last year, HSBC is striving to maintain global relevance — and London and New York still have a role to play
Deal raises questions about whether transaction was done at arm's length
Public pension schemes have sold shares in coal, oil and gas companies but are still funding expansion of the gas industry through infrastructure funds
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  • Crédit Agricole penned an €18bn deal to simplify its complex ownership structure, something investors have long criticised, to boost its capital base and allow it to pay dividends fully in cash.
  • In this year’s round of Turkish bank loan refinancings, dollar commitments will receive a higher margin than those in euros, in a rare move to encourage more lending in the currency,
  • Eurex has signed up Crédit Agricole Corporate & Investment Banking as a member of its clearing house for interest rate swaps.
  • Standard & Poor’s has warned that Indian stated-backed banks could soon be facing a slew of downgrades as the amount of capital needed to provide for bad loans is likely to shoot up.
  • The derivatives hedging strategies of big name oil producers in recent years have left them levered on swings in the spot price of oil — a position that makes them a risky but potentially lucrative bet for investors.
  • A landmark ruling this week that Novo Banco has not triggered a credit event will set a precedent for future European government interventions in banks, market participants said, but it could prompt further amendments to the International Swaps and Derivatives Association's (ISDA) credit definitions.