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Collateral Management Paradigm

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iStock-471246854.jpg
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Collateral Management Paradigm

from 625.00

The interaction of numerous regulatory frameworks such as the European Market Infrastructure Regulation (EMIR), the Uncleared Margin Rules,
Basel III (Capital Requirements Regulation (CRR) and Capital Requirements Directive (CRD IV), and the Securities Financing Transaction Regulation (SFTR) have ushered in a regulatory storm that has caused havoc within the banking and financial services industries. In order to weather the regulatory storm, banking and financial services firms must re-evaluate their collateral management operations and strategies. The optimisation, allocation and transmission of collateral are now mandatory strategic considerations that firms must implement in order to achieve collateral management efficiency and operational efficiency. 

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