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By Alanna Byrne |
November 2, 2012
A wrap-up of promotions and moves from around the industry.
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By Alanna Byrne |
October 31, 2012
Trading always involves risks, both those you can account for and those you can’t. You can plan for the known risks, but those rarely are what cause panic in the markets.
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By Alanna Byrne |
October 19, 2012
A wrap-up of promotions and moves from around the industry
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By Alanna Byrne |
October 12, 2012
A wrap-up of promotions and moves from around the industry
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October 2, 2012
Wall Street banks’ equities-trading units aren’t getting much relief from the strongest stock rally since 2009, as sinking volume and already thin margins threaten to make their annual performance the worst in six years.
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By Lindsay Fortado and Ben Moshinsky, Bloomberg |
August 10, 2012
The U.K.’s chief markets regulator said that material changes to the way Libor is calculated risks invalidating millions of financial contracts, covering products ranging from mortgages to derivatives.
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By Lindsay Fortado and Ben Moshinsky |
August 9, 2012
The U.K.’s chief markets regulator said banks that set the Libor interest rate are seeking a “scientific” process that will limit future liability.
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By Michael McFarlin |
July 6, 2012
A wrap-up of recent industry moves and promotions.
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By Adam Hamilton |
July 1, 2012
The influence of European stocks on the U.S. markets is large and growing, making their trends well worth watching.
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By Philip Burgert |
June 1, 2012
Keeping it in house