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Banks can’t dodge the EU sovereign debt crisis

Banks can’t dodge the EU sovereign debt crisis

March 2010

Just when Europe’s big banks have begun to repair their balance sheets and return to profitability, along comes the European sovereign debt debacle. With huge stockpiles of government bonds on their books, can the region’s banks avert a second catastrophe? Hamish Risk reports.

Bank balance sheets: Cooking the books

March 2010

Shifting assets to the banking book has limited many banks’ ability to actively manage their troublesome asset portfolios.

Banks struggle to meet funding challenge

March 2010

The banking industry’s key challenge remains to stabilize its own sources of finance. Regulators and creditors have pressed banks to build their deposit gathering and extend the term of their market borrowings, with some policymakers calling for levies on non-deposit borrowings.

Barclays’ Varley warns on regulatory risk

March 2010

Barclays’ strong performance earns its chief the right to be heard; Varley defends the universal bank model

Some benefit from fears about sovereign debt

March 2010

European bank stocks have been hit; But volatile government bonds will boost earnings

IDB: Cause for congratulation in Cancún

March 2010

Latin America can be proud of coping well with the crisis but IDB delegates will also need to prepare for upcoming problems.

Citi in Hong Kong: Foreign devils or client first champions?

March 2010

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