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
Although there is little indication of if or when the European Commission’s newest regulations for securities finance transactions will come into force, keeping informed remains half the battle
Tim Smith of SunGard’s Astec Analytics suggests that there is more the industry can do to educate the masses about securities lending and short selling
Beneficial owners continue to return to the securities finance market following the financial crisis. But they do so with more demands for transparency than ever before, says Chris Benedict of DataLend