Thursday, June 6, 2013

EU Court to Hear Britain's Challenge to ESMA Powers Over Short Selling

Monday, June 3, 2013

Be Careful What You Ask For: The Coming Storm of Financial Litigation in the UK

Thursday, May 30, 2013

Is It Time to Rethink the Nature and Management of Financial Risks?

Thursday, May 23, 2013

Money Market Funds and Repo Remain Vulnerabilities to the System

Monday, May 20, 2013

US Cross-Border Swaps Regs Draw International Criticism

Monday, May 13, 2013

How Do You Regulate Locally on a Global Scale?

Wednesday, May 8, 2013

Tri-Party Repo Update: NY Fed Looks at Data and Best Practices.

Thursday, May 2, 2013

FSOC Punts on Money Market Funds, While SEC Hints at Floating NAV.

Sunday, April 28, 2013

The Truth About Securities Class Action Lawsuits is in the Numbers

Tuesday, April 23, 2013

With Power Comes Responsibility. Institutional Investors' Role In Corporate Governance.

Thursday, April 18, 2013

Can the Right Statistics Help Us Avoid the Next Titanic Disaster?

Friday, April 12, 2013

ESMA Issues a Q&A on UCITS and ETF's, But Sec Lending Questions Remain

Tuesday, April 9, 2013

25 Fordham Students Get the Chance to Peer Behind the Regulatory Curtain

Monday, April 8, 2013

Fed Sheds Some Light on "Systematically Important" Non-Banks

Tuesday, April 2, 2013

CFTC Finalizes Important Exemption for Inter-Affiliate Swaps

Monday, March 25, 2013

Is the Dodd-Frank "Cure" Worse than the Disease?

Thursday, March 21, 2013

CFTC May Have No Choice But to Extend Cross-Border Derivatives Implementation

Monday, March 18, 2013

Congress Still Keen on Financial Regulatory Reform

Sunday, March 17, 2013

The Day Arrives for Mandatory Clearing of Swaps

Tuesday, March 12, 2013

Do Complex Systems Need Complex Regulation?

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