Browse our financial services research and publications catalogue.
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Future of Bank Treasury Management - A profession in focus (Feb-13)
Addressing the risks posed by systemically important banks - The end of too big to fail? (Feb-13)
Third Global IFRS Banking Survey – Still far from land? (Jan-13)
Top 10 for 2013: Our outlook for financial markets regulation and supervision (Jan-13)
Recovery and resolution for non-banks – Building a safer financial system (Dec-12)
2013 Capital Markets Outlook - It’s the end of the world as we know it (Nov-12)
2013 Banking Industry Outlook - Moving forward in the age of re-regulation (Nov-12)
Bridging the advice gap - Delivering investment products in a post-RDR world (Nov-12)
The Mortgage Market Review - The final rules bring change... (Nov-12)
No stone unturned - Transformational cost reduction in an era of market volatility (Oct-12)
Establishing a Risk Intelligent Culture in financial services (Oct-12)
Capital gain, asset loss - European Bank Deleveraging (Oct-12)
Big data - Time for a lean approach in financial services (Sep-12)
The State of the Union - Understanding the new European banking union (Sep-12)
2012 Global Financial Services Industry Security Study (Sep-12)
IFRS 9 Classification and Measurement – Are you lost? (Jul-12)
Investment Management M&A: Developing and emerging market opportunities (Jul-12)
Insurance market update – July 2012 – Market Consistent Embedded Value (July-12)
The impact of regulation on the structure of European Over-the-Counter derivative markets (June-12)
Insurance market update – June 2012 – The Deloitte view for life insurers (June-12)
Insurance market update – May 2012 – The Deloitte view for non-life insurers (May-12)
Solvency II Survey 2012 - Where are insurers heading (May-12)
The CASS Resolution Pack - For firms holding client money and/or custody assets (May-12)
Insurance market update - The Deloitte view for non-life insurers (Mar-12)
Aggregated risk on demand - Why shareholders need what regulators want (Mar-12)
XBRL for Solvency II reporting - Encoding the directive (Mar-12)
The Mortgage Market Review - Common sense at the heart of mortgage lending (Mar-12)
Insurance market update - February 2012 - The Deloitte view for life insurers (Feb-12)
Global Model Practice Survey 2011 - Growth through Model Control (Feb-12)
Insurance market update - January 2012 - The Deloitte view for non-life insurers (Feb-12)
Deleveraging in the European Financial Sector - Portfolio Lead Advisory Services (Dec-11)
Governance in Financial Services - Finding the winning formula (Nov-11)
MiFID II: The Deloitte Perspective - Implications for capital markets participants (Nov-11)
The CASS Resolution Pack - For firms holding client money and/or custody assets (Nov-11)
The People impacts of Solvency II - Is your organisation ready? (Oct-11)
Conduct regulation - The impact of the forthcoming change in conduct regulation (Oct-11)
Banking and capital markets insight - September 2011 (Sep-11)
Dodd-Frank - Registration under the Investment Advisers Act (Aug-11)
RDR - Platforms - PS11/9 signals the start of a frenetic period (Aug-11)
IFRS 9 Impairment Survey 2011 - The changing landscape (Jul-11)
Of Roman Gods and Financial Reform - Janus and the Dodd-Frank Act (Jul-11)
Asset management in a post-crisis-environment - Reconsidering profitability (Jul-11)
Market Consistent Embedded Value - At a turning point (Jul-11)
Solvency II technology - A challenging leap from design to implementation (Jul-11)
Adviser charging - Implications of a commission free world (Apr-11)
Solvency II Survey 2011 - Insurers’ responses to evolving rules (Apr-11)
Building customer-centric business models in retail banking - The fourth dimension (Apr-11)
Looking beyond the numbers - Review of banks’ annual reports (Nov-10)
Hiring Incentives to Restore Employment (“HIRE”) Act - Impact of FATCA (Oct-10)
Market Consistent Embedded Value - The road to recovery (Aug-10)
Briefing on the EC Green Paper - Corporate governance in financial institutions (July-10)
Tying tax into UCITS IV - Evolution of an efficiency package (July-10)
New financial landscape - Executive views on the impact of the crisis (June-10)
New financial landscape - Rolling out a recovery and resolution plan (June-10)
Solvency II Survey 2010 - Counting down to the Directive (May-10)
Global Security Survey - For Financial Services 2010 (May-10)
Regulation and the Financial Sector - Right direction but how far and how fast? (May-10)
Opportunity knocks - Consideration for new entrants in UK retail banking (May-10)
Winning in Wealth Management - Strategies for building profitable business models (Apr-10)
New financial landscape - Alternative insurance distribution models in Asia Pacific (Apr-10)
Building Society Update Spring 2010 - Returning confidence (Apr-10)
Alpha or Beta? - Challenges and opportunities for traditional active managers (Apr-10)
More than one approach - Alternative insurance distribution models in Asia Pacific (Mar-10)
Insurance Accounting Insight - Issues and challenges to be considered (Mar-10)
New financial landscape - Sustainable cost management through energy efficiency (Mar-10)
Coping with Complexity - Leadership in Financial Services (Mar-10)
More than one approach - Alternative insurance distribution models in Asia Pacific (Mar-10)
Evolving operating models in the hedge fund industry - New financial landscape (Feb-10)
Making the case for Solvency II technology - The role of the CIO (Feb-10)
2009 Annuity Operations Book of Metrics - Executive Summary (Jan-10)
2009 Life Insurance Operations Book of Metrics - Executive Summary (Jan-10)
Solvency II - Reporting and disclosure requirements (Jan-10)
Facing the challenge of Solvency II - Latest CEIOPS Consultation Papers (Dec-09)
Alternative Investment Fund Managers Directive - On the right track? (Dec-09)
The right combination - Rethinking business operating models in insurance (Nov-09)
Shifting gears for the new regime - The role of risk governance in Solvency II (Oct-09)
UCITS sophisticated funds - Taking advantage of complex mechanisms (Sep-09)
Considering the business impacts of Solvency II - Insurance industry (Sep-09)
Solvency II implementing measures - Solvency II reporting (Sep-09)
Solvency II reporting - Public disclosure and supervisory reporting in the new world (Aug-09)
The Walker Review - Changes to corporate governance (Aug-09)
Delto Insurance Group plc - Illustrative financial statements (Feb-09)
Focused on the fundamentals - A sustainable approach to cost reduction (Feb-09)
Capital Markets Group - UK Market Update as at 31 December 2008 (Feb-09)
Insurance market update breaking news - FSA insurance sector briefing (Sep-08)
The path to Solvency II - The need for firms to be prepared (Sep-08)
Solvency II on the horizon - Impact of the run-off market (Aug-08)
Reconnecting for profit - Strategies for building sustainable profits (Jul-08)
Global Insurance Industry Outlook - Mid-year update 2008 (Jul-08)
Global Banking Industry Outlook - Mid-year update 2008 (Jul-08)
When legacy is not enough - The high stakes game of replacing a bank's core systems (Jun-08)
Catching the new wave - Contactless payments technology (Feb-08)
Global Securities Industry Outlook - Mid-year update 2008 (Jul-08)
Integration is key - Mergers & acquisitions and the European banking landscape (Jan-08)
Winning with branches - Key disciplines for branch transformation (Jul-07)
Insurance market update special edition - Phase II of IFRS for insurance contracts (Jun-07)
Embedding success - Treating customers fairly - an evidence based approach (Jun-07)