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  • Deregulation proposals from the US Treasury Department could be a blessing for foreign banks, which are struggling with trapped capital and costly restructurings in their US units — and falling further behind their thriving US competitors. But reform could be further away than ever, as the Trump White House staggers into self-inflicted crisis.
  • Salvoni heads to HSBC - Barclays hires Dainton to run equities - MUFG beefs up credit
  • A clash over the accounting treatment of risk retention notes has thrown the US CMBS market into flux, with uncertainty over the issue throwing into question the capital treatment and profitability of certain CMBS deals issued since the rule went into effect last year. David Bell reports.
  • SSA
    The minutes of the European Central Bank's (ECB) July meeting revealed a new and optimistic tone on inflation, but caution on relaxing its accommodative measures.
  • Standard & Poor’s has removed the immediate threat of a sovereign downgrade for Brazil after saying that the political landscape is “somewhat more settled” than it was in May, but markets hardly reacted.
  • Volatility took a familiar dip down this week as geopolitical uncertainty again failed to provoke lasting disruption in markets, but scepticism is growing about the lasting power of such conditions.
  • FIG
    Financial institution bond issuers and investors are gearing up for a busy September, but overall issuance for what remains of 2017 may be subdued amid limited funding needs.
  • A new platform expects to host the first European bonds to be issued on a blockchain in September.
  • Disagreement among members of the US Federal Open Market Committee over where inflation could be headed is leading to an uncertain picture over the future of the Federal Reserve’s target rate. Despite that uncertainty, public sector issuers in the dollar market once again enjoyed another strong week of issuance.
  • Over the past five years, banks, regulators and creditors have come to agree on the characteristics of a set of debt capital instruments that, at least in theory, work well for all of them. But recently investment bankers have started to wonder whether or not different structures could do more for the industry. Bank capital could well be on the cusp of yet another shake-up, writes Tyler Davies.
  • The state of Russia's banking system is making investors nervous and causing bond prices to drop. But that does not necessarily mean funding troubles for some firms in the sector.
  • National Bank of Greece has hired former HSBC banker Vassilis Karamouzis as head of corporate and investment banking.