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CAPCO DEBUTS ON CONSULTING MAGAZINE’S “2010 BEST FIRM TO WORK FOR”
Capco consultants thrive on firm’s unique culture and driving client transformation
NEW PARTNER TO JOIN CAPCO’S UK BANKING LEADERSHIP TEAM
Ian Holden joins Capco at a time of transformation in retail banking.
SEPA : CAPCO-ZAHLUNGSVERKEHRSEXPERTEN WARNEN VOR DEUTSCHEM ALLEINGANG UND PANIKMACHE
Capco's payments experts warn of growing unrest among German consumers further to the German Ministry of Finance's announcements on SEPA.
NOW, NO DEGREES OF SEPARATION
Banks will have to react quickly to recommendations of end-2011 (for SEPA Credit Transfers) and end-2012 (for SEPA Direct Debit).
EFFECTIVE RISK AND P&L MANAGEMENT
Don’t let the business case for improvement be driven exclusively by the “stick” of Regulation. Focus on providing the best possible infrastructure to satisfy Front Office demands.
EUROPEAN RETAIL BANKING CREDIT RISK
How do you grow market share and revenues while guarding effectively against losses?
Latest Journal
Journal 29 – Creating Markets
The articles in this edition focus on the major challenges financial institutions still face.
JOURNAL DETAIL
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Journal 27 - Rebuilding
part 1
The financial crisis as a symbol of the failure of academic finance. (A methodological digression)Hans J. Blommestein, PwC Professor of Finance, Tilburg University
Economists hubris, the case of asset pricingShahin Shojai, Global Head of Strategic Research, Capco
George Feiger, Chief Executive Officer, Contango Capital Advisors
The equity premium in 150 textbooksPablo Fernandez, Professor of Corporate Finance, IESE Business School
U.S. executive-branch transgressions in the depth of the 2007-09 financial crisisGeorge M. von Furstenberg, J. H. Rudy Professor of Economics Emeritus, Indiana University, Bloomington
Efficient market hypothesis, another victim of the great recessionKosrow Dehnad, Head of Quantitative and Analytic Trading, Samba Financial Group, and Adjunct Professor of Operations Research, Columbia University
In the wake of the financial crisis, rebuilding the image of the finance industry through trustErika Hayes James, Bank of America Associate Research Professor, Darden School of Business, University of Virginia
Critical systemic settlement risk imperatives in the global financial markets
Anatomy of the 2008 financial crisis, an economic analysis postmortemGreg W. Hunter, Associate Professor, Department of Economics, California State Polytechnic Universitys
Regulating private financial institutions, how to kill the goose that laid the golden eggsFrancois-Serge Lhabitant, Chief Investment Officer, Kedge Capital Fund Management Ltd, and Professor of Finance, HEC Lausanne and EDHEC Business School
Smarter sourcing in a post-crisis environmentSuresh Gupta, Partner, Capco
Carmina Venditti, Director, Capco
What executives should know about structural credit risk models and their limitations, a primer with examplesSamuel Malone, Assistant Professor of Finance, School of Management, University of the Andes
Abel Rodriguez, Assistant Professor, Department of Applied Mathematics and Statistics, University of California, Santa Cruz
Enrique ter Horst, Associate Professor, Euromed Managment, and IESA
From crunch to crisis in the interbank lending marketJohn Robert Stinespring, Assistant Professor of Economics, University of Tampa
Brian T. Kench, Associate Professor of Economics, University of Tampapart 2
Rethinking channel and product optimization in the global financial services industryNick Jackson, Partner, Capco
Quantifying reputational effects for publicly traded financial institutionsGiuseppina Cannas, Ph. D. Student, Faculty of Economics, University of Cagliari
Giovanni Masala, Researcher of Financial Mathematics, Faculty of Economics, University of Cagliari
Marco Micocci, Full Professor of Financial and Actuarial Mathematics, Faculty of Economics, University of Cagliari
Can risk modeling workElizabeth Sheedy, Associate Professor, Macquarie Applied Finance Centre, Macquarie University
Borrow from peopleWilliam Flatau, Founder, First Funding
The world needs to begin planning now for a single global currency - and save the world trillionsMorrison Bonpasse, President, Single Global Currency Association
The importance of customer experience in a challenging financial environmentAlex Forbes-Smith, Group Strategist, Nationwide
Tony Prestedge, Executive Director, Group Development, Nationwide
The dog that did not barkJohn Trundle, Managing Director and Head of Risk Management, Euroclear
Private equity and captive insurance companiesStef Roosenbeek, Senior Consultant, Aon Limited
Estimating expected loss given default in an emerging market, the case of Czech RepublicJakub Seidler, Economist, Czech National Bank, and Institute of Economic Studies, Charles University
Roman Horvath, Adviser to the Board and Head of Research Unit, Czech National Bank, and Institute of Economic Studies, Charles University
Petr Jakubik, Senior Economist, Czech National Bank, and Institute of Economic Studies, Charles University