Counterparty risk management is critically enhanced through the effective sourcing and use of collateral as part of an architecture supporting multiple requirements, says Ted Leveroni of DTCC
Gerard Denham of Eurex Clearing explains the unique characteristics of its CCP that give key advantages for participants within the securities finance value chain
CloudMargin’s Andy Davies and Stuart McHardy share collateral management
oversight best practices to keep beneficial owners informed in a fragmented world
A combination of collateral and trade optimisation methodologies is relevant to almost all buy-side firms, finds Daniel McNavich of Lombard Risk Management