Weekly Brief Sep 30 Swift plans cross-border payments by phone number and email Transaction Finance Weekly: Swift's pay-by-alias framework, FedNow's cross-border leg, BNY's Pay-to-Wallet and JP Morgan-Thunes expand cross-border pa... 732
Weekly Brief Sep 28 Swiss upper house backs proposal UBS says would add $16 billion to its parent-bank CET1 requirement Risk and Capital Weekly Brief: Swiss lawmakers advance a $16 billion CET1 hit for UBS, as Fed proposes capital rules for stablecoin issuers.... 769
Weekly Brief Sep 28 US and Japanese bond yields hit multi-decade highs after Fed and BoJ hikes The Asian Banker Weekly Brief: US and Japanese bond yields hit multi-decade highs after Fed, BoJ hikes, as US-China trade truce extends, China profits... 700
Weekly Brief Sep 21 Federal Reserve review finds delayed supervisory action before Silicon Valley Bank failure Risk and Capital Weekly Brief: A Fed review found supervisors knew of SVB's flaws by 2022 but failed to act, as ECB problem loans rose. ... 739
Weekly Brief Sep 17 PBOC says slower loan growth is China’s new normal as financing shifts beyond banks TAB China Weekly Brief: PBOC flags slower loan growth, Hong Kong releases five-year plan, HKMA raises base rate, ABC completes renminbi transaction.... 1926
Weekly Brief Sep 15 GCC bank assets exceed $4 trillion as deposits rise 6% and UAE credit expands TAB Middle East Weekly Brief: GCC bank assets top $4 trillion, Türkiye holds rates at 37%, US sanctions VTB Bank, and ADGM assets under management ri... 976
Weekly Brief Sep 14 ECB raises rates to 2.50% as euro-area energy inflation hits 14.3% The Asian Banker Weekly Brief: The ECB raised rates to 2.50% as inflation rose and Saudi pipeline attacks disrupted oil supply, while UniCredit advanc... 980
Weekly Brief Sep 14 EU limits impact of Basel trading rules on bank capital through 2029 Risk and Capital Weekly Brief: EU delays FRTB capital impacts through 2029, Canada cuts SME risk weights, Singapore proposes loss-absorbing capacity r... 1233
Weekly Brief Sep 08 Global bond sell-off raises funding and balance-sheet risks for banks The Asian Banker Weekly Brief: Global bond yields surge to multi-year highs, India’s special FX facility draws $136.4 billion, Chinese financial ins... 845
Weekly Brief Sep 01 Warsh puts inflation first, Bank of China leads Big Five profit growth The Asian Banker Weekly Brief: Warsh reshapes Fed guidance, Treasury targets Banque Misr, China's banks post profit gains and rate hikes continue in K... 776
Weekly Brief Aug 24 US Treasury expands long-dated buybacks, Alibaba raises $10.3 billion for AI infrastructure The Asian Banker Weekly Brief: US Treasury doubles long-dated buybacks as debt hits $40 trillion, Alibaba raises $10.3 billion, SoftBank plans AI bond... 814
Weekly Brief Aug 17 China records $50 billion bank-lending contraction, Bank of America enters Indian consumer credit with Jio Financial The Asian Banker Weekly Brief: China's bank lending contracts by a record RMB340 billion, US inflation eases to 3.4%, Japan's GDP growth slows to 0.3%... 3254
Weekly Brief Aug 11 RBI proposes leverage buffer for G-SIB branches, UOB sale to add 14 basis points to CET1 Risk and Capital Weekly Brief: RBI proposes a G-SIB leverage buffer, the Fed launches a private-credit risk survey, UOB sells its asset-management uni... 1448
Weekly Brief Aug 04 Emirates NBD expands in Egypt, UAE banking assets reach $1.53 trillion TAB Middle East Weekly Brief: Emirates NBD moved to acquire HSBC Egypt's retail banking business, UAE banking assets climbed to $1.53 trillion and Ma... 1259
Weekly Brief Aug 03 Japan and US intervene to support yen, Situational Awareness unwinds most of $16 billion portfolio The Asian Banker Weekly Brief: Japan and the US jointly intervened to support the yen after the Bank of Japan held rates, as Standard Chartered raised... 1120
Weekly Brief Jul 30 X enters financial services with accounts, cards and payments Retail Finance Weekly: X launches X Money, Upstart secures a conditional bank charter, PayPal lifts payment volume to $486.4 billion, and DBS expands ... 2053
Weekly Brief Jul 29 ADCB profit rises 28% as Gulf bank earnings diverge TAB Middle East Weekly Brief: ADCB extended its profit streak to 20 quarters as Gulf earnings diverged, DIFC surpassed 10,000 registered companies, an... 1057
Weekly Brief Jul 27 Perry Warjiyo’s surprise resignation follows Bank Indonesia’s 5.75% rate hold This week, Bank Indonesia's governor resigned in a surprise move, the OCC rejected Wise's US trust bank application and UniCredit raised its Commerzba... 1519
Weekly Brief Jul 20 EU proposes freer movement of bank capital and liquidity, JPMorgan questions US capital reset This week, the European Commission proposed freer capital and liquidity movement across banking groups, JPMorgan pushed back on uneven US capital refo... 972
Weekly Brief Jul 20 JP Morgan nears $1 trillion valuation, EU seeks to free $263 billion of trapped liquidity Wall Street earnings, Europe's push to unlock bank liquidity and renewed monetary tightening in Asia highlighted a week in which banks balanced resili... 900
Weekly Brief Jul 13 Gulf banks tap AT1 markets, Brazil's bank rescue hits a wall This week's Risk and Capital Weekly Brief covers Gulf banks' strong AT1 demand, OCC-approved stablecoin trust charters for Circle and Sony Bank, ABN A... 660
Weekly Brief Jul 06 China's central bank adds overnight repo tool, RBI names AI cyberattacks top bank risk Four central bank chiefs unite in Sintra against forward guidance, as the ECB's Claudia Buch resists easing capital rules, China debuts an overnight r... 667
Editorial Jun 30 Can China's banks turn AI governance from a board mandate into a competitive advantage? China's NFRA has issued its first dedicated AI framework for banks and insurers, moving AI from a technology initiative to a board-level governance is... 2626
Weekly Brief Jun 29 From retail gold to AI funds, Chinese institutions move on risk ICBC and peers gate leveraged precious metals trading after volatility, as JPMorgan and Goldman Sachs reinforce capital buffers, Nomura builds instant... 656
Weekly Brief Jun 29 Singapore establishes Future of Finance Institute, BIS warns on sovereign debt The BIS warns record sovereign debt held by non-bank investors poses new systemic risk, as Morgan Stanley gates a private credit fund again, and MAS l... 687
Current Account Jun 25 All 32 US banks pass Fed stress test as higher rate assumptions offset growing credit losses The Fed's 2026 supervisory stress test cleared every large US bank against a scenario modelling $708 billion in projected losses, but the cleanest agg... 2980
Weekly Brief Jun 22 Washington shifts rate expectations as China advances AI regulation The Fed's updated projections turn sharply hawkish under new chair Kevin Warsh, as Iran-war energy inflation pushes the Bank of Japan to a 31-year rat... 527
Weekly Brief Jun 08 From Basel to Beijing, regulators reshape how capital moves ESMA advances centralised European market supervision as China extends state oversight to outbound investment, while US regulators strip reputational ... 534
Interviews Jun 05 How should banks compete when Washington redraws the rules of finance Former US Congressman Patrick McHenry argues that AI, digital assets and a more politically responsive regulatory environment will reshape how banks c... 1735
Weekly Brief Jun 01 Central banks recalibrate while agentic AI moves into production Diverging monetary policy and rapid AI adoption reshape banking risk this week, as Fed vice chair Bowman signals no rate hike, BOJ's Ueda flags oil-sh... 640
Weekly Brief May 25 Currencies under pressure, frameworks under construction Currency pressure drives rate action in Indonesia, India and Nigeria as China holds its loan prime rate for a twelfth month, while US and UK regulator... 532
Weekly Brief May 18 Warsh takes the Fed as US-China talks reset trade risk Kevin Warsh is confirmed as Federal Reserve chair, Trump's Beijing visit extends the US-China trade truce, Japan's megabanks post record profits with ... 588
Weekly Brief May 04 Rate paths diverge as banks report record first-quarter results The BOJ, Fed and ECB all hold rates but diverge sharply on signals, as record first-quarter earnings at UBS, US banks and Standard Chartered mask earl... 541
Weekly Brief Apr 27 Banks face tighter regulatory oversight as policy and credit risks converge A weekly briefing on the developments shaping global banking and what decision-makers need to understand.... 1888
Weekly Brief Apr 20 War risk reshapes banking outlook The Iran war and Strait of Hormuz disruption dominate global finance this week, as the IMF cuts growth forecasts, US banks post record but cautious Q1... 558
Analysis Apr 20 Global banking confronts a 1970s-scale oil shock with depleted policy space Banks enter the Strait of Hormuz disruption well-capitalised and liquid, but the IMF's Spring 2026 publications find fiscal and financial policy space... 2262
Jan 31 Global banking sector at a crossroads amid economic headwinds and accelerating transformation Banks across advanced and emerging markets navigate economic realignment, regulatory evolution and digital disruption.... 5577
News Analysis Oct 01 Global central banks' quantitative tightening and implications for industry Major central banks worldwide are shrinking their balance sheets after pumping liquidity into their economies throughout the worst of the COVID-19 pan... 6604
Speech Oct 19 Some lessons for crisis management from recent bank failures Speech by Agustín Carstens, general manager of the Bank for International Settlements (BIS), at the meeting on banking supervision of the Association... 5701
interviews Oct 29 China's economic policy makers Top policy advisor, Huang Yiping explains the history and direction of China’s economic policies.... 25104
Jul 07 Mark Carney: “Banks are prepared to make climate change commitment at COP26” Newly appointed UN envoy on climate change, Mark Carney, discussed his role and what he hopes to achieve at the upcoming COP26 as well as his views on... 12822
Speech Jan 28 BIS’ Carstens: “Digital currencies and the future of the monetary system” Agustín Carstens, general manager of Bank for International Settlements, in a speech to Hoover Institution affiliates, comprising Stanford University... 11595
Trendwatch Sep 21 The stock market recovery in the US is uneven, with some sectors lagging behind Until the pullback in early September, the S&P 500 has climbed almost 25% in 2020 outstripping other sectors. This points to an uneven K-shaped recove... 8372
Feature Sep 07 Central banks accelerate digital currency plans as PBOC surges ahead Central banks are undertaking extensive work on digital currencies to improve the cost, security, speed and reach of transactions to eventually accele... 14021
Aug 16 Twitter and Square investor Gregg Kidd: “Identity as a public good, but who is going to own it?” Greg Kidd, the serial startup investor who helped found Square and Twitter and is currently investor in GlobaliD, opens up in this wide-ranging and op... 13688
editorial Mar 11 The Asian Banker Perspectives 11 March 2019 "I believe we need a crisis in Europe to really fix Europe," said Laurence Fink, Chief Executive Officer of BlackRock.... 5884