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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M3 Capital AS Signs with Brady’s Risk Management Solution
Brady plc (BRY.L), the leading global supplier of trading, risk management and settlement solutions…
Using Electronic Messaging for Margin Call Communication to Reduce Counterparty Risk & Increase Transparency
In this Webinar, industry experts explain how financial institutions can utilise electronic messaging for…
Remarks, Implementing the Dodd-Frank Act, George Washington School of Law
Chairman Gary Gensler Good morning. I thank Ed Labaton for that kind introduction as…
CFTC to Hold Open Meeting on Tenth Series of Proposed Rules under the Dodd-Frank Act
The Commodity Futures Trading Commission (CFTC) will hold a public meeting on Thursday, January…
TT International Selects SunGard’s APT to Help Gain Enhanced Insight into Drivers of Risk and Return
TT International, a London-based investment manager with $18bn assets under management, has implemented SunGard’s…
Steven Maijoor is Selected as ESMA’s First Chair
The European Securities and Markets Authority (ESMA) announces today the selection of Steven Maijoor,…
Statement on Support of the Dodd-Frank Rulemaking of Chairman Gary Gensler
Statements for the record on each rule: Position Limits I support the proposed rulemaking…
Statement, Prior to Notice of Proposed Rulemaking – Position Limits for Derivatives
Commissioner Scott D. O’Malia Introduction I believe that releasing this proposed rule for comment…
Opening Statement, Open Meeting on the Ninth Series of Proposed Rulemakings under the Dodd-Frank Act
Commissioner Jill E. Sommers Good Morning- I would like to begin again today by…
AIMA Responds to ESMA Consultation on AIFMD
The Alternative Investment Management Association (AIMA), the global hedge fund association, has called for…