Asia
Eric Mason, the man behind Carlyle's leveraged finance activities in the region, says the subprime crisis is having a limited impact on the firm's plans.
A novel structured note is giving investors 125% of the upside in the gold price without putting any principal at risk.
Allianz Insurance Management Asia-Pacific has chosen Standard Chartered as its primary custodian bank in the region.
Richard Pyvis of CLSA Capital Partners predicts riskier private equity deals will become unfeasible as the cost of financing rises.
The carry trade may be dead but the foreign exchange market still has a lot to offer private investors.
Asia's favourite equity markets are still overvalued, lacking in transparency and ripe for catastrophic collapse. That's good news for some.
The head of credit risk at an investment bank argues financial institutions in Asia will not be immune to the subprime fallout.
In a first for Asia, the veteran Indian private equity player lists his pan-Asian fund on the London Stock Exchange.
Widening credit spreads can be an investor's friend thanks to a range of new structures that use credit spread options, according to Deutsche Bank.
The bank opens a new desk that will provide secondary market pricing and liquidity for forex and commodity products.
ABN Amro and Kenmar team up to create a range of hedge fund products focused on the sustainable investment sector.
The Dutch bank continues its Asian expansion with a fund derivatives push in the region.
Lane Hocking joins the bank as head of equity and finance trading in Asia ex-Japan.
Barclays’ global head of fund-linked derivatives discusses the growth in fund-linked structures that offer leveraged exposure to hedge funds.
US asset manager considers tailoring structured products to meet Asian investors’ needs.