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Easily dismissed as "fast money" with all the negative implications that can bring in the primary bond market, hedge funds are becoming increasingly important to covered bond issuers
As JP Morgan brings its Security and Resilience Initiative to Europe, Craig Coben uncovers what it takes to make such an effort pay off rather than fizzle out as a piece of flashy marketing
The US bank is showing its global credentials at a time of increased transatlantic tensions but European banks are equal to the challenge
FIG issuers have shown that investors are ready to absorb all the supply that comes their way
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Reframing inflation might produce a more palatable number but is not always a great idea
The most successful investment banks must strive for excellence in managing people
Opinion: Amid investment boom, S&P stoically maintains its position
There's an AI with cybersecurity capabilities too dangerous for public release. Why don't people care more?
Leaders
The fears of the covered bond market reflect a lack of conviction in the superiority of the product
Lower rates will need lower inflation — and an FOMC consensus
Gulf AT1 deluge will be a challenge, with or without drone strikes
Despite the allure of lower loan prices, CLO managers should print deals cautiously
Southpaw
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
Innovation and ambition have been hallmarks of mergers and acquisitions activity this year, but there are some signs of weakness in private equity
Bank M&A is back on the agenda, but talk of SMBC buying Jefferies is premature. The two firms are prioritising their multi-stranded alliance and a takeover now would jeopardise it