Nov 14th 2011; UCL FINDS Event Invitation
The new regulations for the financial markets, namely the Dodd-Frank act and the European Market Infrastructure Regulation, will bring additional and stricter requirements and processes for market-participants. Effective collateral management is now essential to optimal asset allocation and capital management. The financial markets are looking for holistic collateral management solutions needing innovative optimisation technology. Collateral is increasingly seen as a front office concern creating new entrants, and new solutions to meet enterprise wide challenges. Whether you are on the buy side or sell side, a service user or service provider these changes bring opportunities and challenges and will create winners and losers. All these developments make the subject of collateral optimisation a hot topic. What is at stake in this new branch of risk management? What is the outlook in the short, medium and long run for this activity?
Come to our debate on the 15th November for an insight into collateral optimisation delivered by experts in the field, coming from Calypso, Rule Financial and Eurex. For more details and to secure your place, please follow the link on the right. We look forward to welcome you at our event!
To register: http://collateral.eventbrite.co.uk/?ebtv=F