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Monday, 4th September 2006 |
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IPO Report China Merchants Bank sets out to prove that small is beautiful The retail-focused bank sets H share price range to allow IPO discount versus peers and aims to raise up to $2.66 billion.
By Anette Jönsson
In Debt UBS takes Surabaya property company on the road Despite the struggles of other Indonesian high-yield deals in recent weeks, Pakuwon Jati readies its debut in the international high-yield market.
By Timothy Cuffe
People Moves Citi refuels with Cunningham hire Citigroup Investment Research names new regional head of oil and gas research.
By Andrew Peck
People Moves ABN appoints new private banking head Hans Diederen named head of private banking for North Asia.
By Andrew Peck
People Moves SG CIB builds equity derivatives team Heddy Tsang rejoins SG CIB as a manager in its equity derivatives department in Hong Kong.
By Lara Wozniak
Editor's Desk League Table Roundup September 1 The equity capital markets pick up the pace while the debt capital markets remain silent
By FinanceAsia & Dealogic
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.
FOW - Derivatives & Securities World, 3 - 4 Oct 2006, Raffles City Convention Centre, Singapore
FOW' S TRADE MISSION TO MUMBAI, 19 - 21 Sep 2006, INDIA
India Unlimited comes to London, 4 - 5 Sep 2006, London
Macquarie Asian Infrastructure Forum, 18 - 19 Oct 2006, The Conrad Hotel, Hong Kong
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:
COMPANY VALUATION MODELLING
SYDNEY: 18 - 20 October 2006 | HONG KONG: 23 - 25 October 2006 Make sound and solid valuations to back-up strategies to invest, divest, restructure, merge or acquire companies. This intensive 3-day Masterclass explores the latest strategies and models to help you successfully tackle any type of company valuation, however complex your deal might be. Aiming to build on your existing knowledge, this programme will hone your skills, and help you to achieve successful and accurate valuations – every time.
3-DAY MBA IN FINANCIAL MANAGEMENT
SYDNEY: 16 - 18 October 2006 At last! The most straight-forward and comprehensive solution for executives with non-financial background. Get clear, easy-to-understand explanations of the most fundamental financial principles - with examples of each concept in action. This course is specially designed for professionals with a non-finance background. It will equip you with all the essential tools, ideas and concepts to improve your business decision-making skills so you too can contribute to your organization’s bottom line!
INTERNATIONAL CAPITAL MARKETS & DERIVATIVES
SINGAPORE: 11 - 15 December 2006 Tap into this rapidly evolving market and learn how to exploit the range of instruments, applications and the complex techniques involved. This programme will provide practical applications of capital market and derivative instruments for investment bankers, portfolio managers, corporate treasurers and financial executives from leading banks, financial institutions, regulators, arrangers, investors, legal advisors and rating agencies within the Asia-Pacific region. Maximize the benefit of the intensive 5-day format and participate in 8 practical case studies.
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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