Q&A: Asset Segregation for Cleared OTC Derivatives
A Q&A to address questions on asset segregation models to support cleared OTC derivatives from webinar attendees
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Investment Banks Must Implement Conduct Risk Strategies
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Brandywine Global Selects SunGard’s Apex Collateral Solution to Support Margin Workflow Operations and Regulatory Reporting
Brandywine Global, an investment manager affiliated with Legg Mason, one of the world’s largest…
ECB Takes Note of General Court Judgment on Location Policy for CCPs
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News in Review March 4th 2015
A synopsis of the headlines in the derivatives industry from the last week. UK…
Proposed Assessment Methodologies for Identifying Non-Bank Non-Insurer Global Systemically Important Financial Institutions (NBNI G-SIFIs)
The Financial Stability Board (FSB) and the International Organization of Securities Commissions (IOSCO) are…
Trading Technologies to Provide Access to GMEX Exchange for its Customers
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2015 EMIR & MiFID II/MiFIR Reporting Conference
Banks, asset managers and financial intermediaries are facing unprecedented regulatory demands around data…
CBOE Names Five New Officers
Stephanie Klein, Chief Marketing Officer Jennifer Lamie, Chief Regulatory Advisor Stephanie Marrin Lara, Deputy…
Thomas A. Kloet Elected to Nasdaq’s Board of Directors
Thirty-Year Industry Veteran Brings Exchange Leadership to Board Nasdaq (Nasdaq:NDAQ) today announced that Thomas…


Heading to FIA Boca: High Velocity Derivatives Markets for 2015 and Beyond
A view on the key trends that will continue to shape the global derivatives market