Lombard Risk Management has appointed David Wilford as director of compliance products. Wilford will also act as product director for Lombard Risk Management鈥檚 new compliance and audit application, ComplianceASSESSOR, and lead its dedicated team...
In its continued efforts to strengthen oversight and regulation of 鈥渟hadow banking鈥, the Financial Stability Board (FSB) is asking for feedback on its thirteen recommendations...
Citi now offers securities lending services in Malaysia through its OpenLend platform. The new service will allow offshore and domestic investors access to the Malaysian market...
More than a third of J.P. Morgan鈥檚 intraday credit exposure that it experiences during the unwinding of triparty repos has been eliminated as the firm implements market reforms...
A meeting whose attendees included the Securities and Exchange Commission of Pakistan (SECP) and the Karachi Stock Exchange (KSE) discussed allowing intraday short-selling, but reached no final decision...
Joanne Segars, chief executive of the National Association of Pension Funds (NAPF), has been elected as chair of the European Federation for Retirement Provision (EFRP)...
The heterogeneous nature and diverse ownership of central counterparties (CCPs) worldwide mean that they do not conform with regulatory initiatives to impose a single framework for operations and risk management, according to a new report...
Securities lenders and borrowers in Canada will soon be able to trade any trust that is listed on a stock exchange after the country鈥檚 minister of finance, Jim Flaherty, tabled a motion to implement outstanding technical tax amendments...