462 Odcinki

  1. Risk-weighted assets, valuing bank debt, and Italy and the Eurozone crisis

    Opublikowany: 14.11.2011
  2. António Horta-Osório’s break from Lloyds, the MF Global collapse and Bob Diamond’s cuddly bankers

    Opublikowany: 7.11.2011
  3. Barclays’ results, shadow banking regulation and the eurozone deal

    Opublikowany: 31.10.2011
  4. Selling Lloyds’ branches, entering the earnings season and bank recapitalisation

    Opublikowany: 23.10.2011
  5. Greece haircuts, Northern Rock bidders and the banking results season

    Opublikowany: 16.10.2011
  6. Expanding the European Financial Stability Facility

    Opublikowany: 9.10.2011
  7. Dexia, living wills, UBS and M&A activity

    Opublikowany: 3.10.2011
  8. Rogue trading, Lloyds job moves

    Opublikowany: 19.09.2011
  9. Reaction to the Vickers report

    Opublikowany: 13.09.2011
  10. Mortgage law suits, RBS/Lloyds/ Vickers' preview

    Opublikowany: 5.09.2011
  11. Reaction to financial turmoil

    Opublikowany: 8.08.2011
  12. Bank results and job cuts

    Opublikowany: 1.08.2011
  13. Basel III, investment banks, Lloyds and Northern Rock

    Opublikowany: 25.07.2011
  14. Stress tests, Q2, Lloyds

    Opublikowany: 18.07.2011
  15. Santander, Greece, Deutsche Bank

    Opublikowany: 11.07.2011
  16. Greece, Axel Weber, and the FCA

    Opublikowany: 4.07.2011
  17. Greece, Lloyds and female quotas

    Opublikowany: 27.06.2011
  18. Greece, capital surcharges, ring-fencing

    Opublikowany: 20.06.2011
  19. Lending targets, pay, investors

    Opublikowany: 13.06.2011
  20. Stress tests, Lloyds and Northern Rock, Basel III

    Opublikowany: 6.06.2011

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