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Carmella Haswell speaks to market participants on the UK government’s greenlight for the implementation of T+1, the industry’s response, and how the Accelerated Settlement Task Force will steer the country to a smooth transition
Securities finance specialists reflect on the transformation of collateral management, from an auxiliary service to a pivotal aspect of the ecosystem, and how the practice is being impacted by key regulatory initiatives
Over the past 15 years, collateral has become a key facet of the finance industry. In the process, it has changed from being a product that is posted, to being a service that can be optimised. Collateral efficiency is increasingly the primary goal of market participants, say Euroclear’s Mike Reece and Olivier Grimonpont
John O'Neill, HSBC'S global head of digital assets strategy, speaks to Sophie Downes about the firm's recent digital endeavours and their significance for the future of the digital market transactions
Look offshore to maximise your lending potential, say MUTB’s Global Securities Lending Solutions team Paul Collard, James Aris and Reshad Mullboccus
Cyril Louchtchay de Fleurian, a consultant on repo markets and SFTs, examines a roadmap for growth and efficiency gains in European repo markets, including a case for the repositioning of GC Pooling and €GCplus solutions
Building a high-quality, real-time data layer is considered one of the ‘heavy lifts’ of any collateral optimisation programme, says Victor O’Laughlen, digital business leader for Clearance and Collateral Management at BNY Mellon, who explores data as a key driver of optimisation
In the second of two articles, Bob Currie reviews how tax reforms are impacting securities financing markets and how tax authorities are reassessing transaction-based taxes as part of their revenue-generating powers