Robert Parker, Chair of ICMA’s Asset Management and Investors Council, reviews the market events of the past weeks, including Q1 GDP growth and recovery, stabilisation of the US 10 year treasury yields and geopolitical risks to be considered by investors.
UK Edinburgh Reforms: prospectus regime
MiFIR review and bond market transparency
Transparency in commercial paper
CSDR Refit and settlement efficiency
ICMA’s response to the ESAs’ call for evidence on greenwashing
Common Domain Model for repo and bonds
ICMA Market integrity in sustainable finance series I Episode 4 I Greenwashing risks and remedies
ICMA Social Bonds Podcast Series Episode 4: Defining Target Populations
ICMA market integrity in sustainable finance series I episode 3 I greenwashing risks and remedies
FinTech and digitalisation
Sustainable Finance
Global Repo and Collateral Forum
Repo market at the 2022 year-end
CSDR mandatory buy-ins
EU and UK prospectus regimes
FCA consultation on synthetic US dollar LIBOR
Monetary policy, financial stability and capital market resilience
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How to navigate and future proof your career in capital markets in a VUCA (volatility, uncertainty, complexity and ambiguity) world
Emerging market debt – global themes, performance and outlook - with Ashwin Jolly, ICICI Bank UK Plc
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