Liquidity risk
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The (de)regulatory agenda in US banking – 2025 and beyond
US banking regulators have altered some aspects of their supervisory stances, eliminating reputational risk as a standalone basis for supervisory criticism, among other moves.
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FCA work in review: August 15-28, 2025
Our regular roundup of FCA work.
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FCA work in review: June 12-19, 2025
Our at-a-glance guide to another week of FCA activity.
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Liquidity risk advice for collective investment schemes revised
IOSCO final report includes revised recommendations for funds and an updated guidance document to help with their implementation.
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Deep market engagement needed in the face of accelerating change says FCA chief Nikhil Rathi
Freeing up capital, increasing liquidity and shifting from reactive to proactive regulation were all identified as key to addressing ‘predictable volatility’.
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Complexity of bank-nonbank relationships a key trend reshaping banking – OCC
OCC Acting Comptroller Michael J. Hsu also highlighted a growth in large banks and polarization as long-term trends.
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Bank regulation: Are we going to lie to ourselves?
When it comes to compliance, the difference between saying and doing can be exacerbated by an excess of regulation.
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How fund managers can ensure sustainability and liquidity, but also invest and speculate
FCA finds weaknesses in firms’ ability to stress-test and implement effective liquidity management framework.
