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Thursday, 10th August 2006 |
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Mutual Funds & Markets Nomura AM’s bid to go global Can Japan's biggest asset management company run global mandates for global clients?
By Jame DiBiasio
In Debt Will the Fed's "pause" help Asia's debt markets get going? So how does the Fed's decision to halt interest rate rises effect Asia's stalled debt capital markets?
By Timothy Cuffe
People Moves A new day for ABS at UBS Australia Bill Measday joins UBS in Sydney to rebuild the bank’s asset-backed securities business.
By Cherie Marriott
Business Moves HSBC sells margin lending business to St George The Australian bank picks up the portfolio with a book value of $324 million.
By Cherie Marriott
Alternative Investments JM Financial launches India-focused private equity fund with Old Lane JM Financial launches private equity fund with Old Lane Partners LP as lead investor and co-sponsor and initial corpus of $150-175 million.
By Sameera Anand
People Moves Invesco announces new hires Invesco real estate appoints Thomas Au senior research analyst to develop Asia-wide research capability and support regional real estate investment.
By Sameera Anand
Standard & Poor's Daily Ratings Direct Asia-Pacific Highlights
Welcome to Standard & Poor's daily summary of credit research of interest to investors in Asia-Pacific.
By Standard & Poor's
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Events - Sponsored Section |
For news on the latest third party conferences and seminars, please see below. Please click on the headline for further details.
6th Annual Structuring Trade & Export Finance in Asia Conference, 7 - 8 Sep 2006, Swissotel, Singapore
The 2nd Annual CIO Forum Asia 2006, 14 Sep 2006, Singapore
The 2nd Annual CIO Forum Asia 2006, 11 - 12 Sep 2006, Hong Kong
Standard & Poor's Ratings - CORPORATE CREDIT RISK ANALYSIS, 10 - 13 Oct 2006, Hong Kong
Standard & Poor's Ratings - Structured Finance Risk Analysis, 13 - 15 Sep 2006, Hong Kong
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UPCOMING MASTERCLASSES IN FINANCE Terrapinn Financial Training welcomes you to attend in 2006:
FINANCIAL MODELLING WORLD
*Book early! This course is guaranteed to sell out fast! SYDNEY: 21 - 25 August 2006 | DUBAI: 16 - 20 September 2006 | HONG KONG: 18 - 22 September 2006 This practical, hands-on workshop will help you solve your own financial modelling problems. You'll work on forecasting, project finance, valuation, capital budgeting, credit analysis, investment optimisation, simulation, risk and strategic planning scenarios. If you're a CFO, Financial Analyst, Business Analyst or Financial Controller, this course is tailor-made for you!
"Everything I learnt in the 5 days is extremely useful - the tips, tricks & traps in Excel. I have better understanding of sensitivity, scenario, and simulation models. It expanded my knowledge of Macro!" - Clemente A. Puno IV, Manager, ING Bank N.V.
ASSET & LIABILITY MANAGEMENT
HONG KONG: 12 - 14 September 2006 Are you fully prepared for Basel II? Go beyond the basics and uncover the latest trends, developments, success stories and pitfalls to avoid when it comes to ALM. Implement the latest methodologies for effective ALM while fully complying with the BASEL II requirements for interest rate risk and liquidity risk - well ahead of the 2007 deadline. If you’re a treasurer, an ALCO member, ALM analyst or part of a Basel II compliance team, you know you can’t afford to miss this event!
In-House Legal Counsel Masterclass
HONG KONG: 13 - 15 September 2006 | SYDNEY: 19 - 21 September 2006 Find out how successful legal departments are built and how to lead your team to develop innovative ideas to help you gain greater control of litigation and budgeting. Appreciate the future role of an in-house legal department and the added value you can create for your business. Relevant to members of in-house legal, compliance, patents, trademarks and intellectual property departments.
FIXED INCOME PRODUCTS & DERIVATIVES
HONG KONG: 28 - 29 September 2006 You will gain a thorough understanding of the properties of fixed income securities, and the practical application to the context of fixed income portfolio management. You will revisit the fundamental concepts of the yield curve, risk and return and particularly in use of such measures as duration and convexity, VaR and tracking error within structuring and managing fixed income portfolios.
Get your free copy of the 2006 Calendar & Catalogue | Terrapinn Finance Jargon Glossary
Enquiry Hotline: (+65) 6513-1633 | Fax: (+65) 6536 2280 Email: [email protected] | www.terrapinnfinancial.com |
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