Collateral Management Fundamentals
This one-day program examines Collateral Management as the cornerstone of Counterparty Credit Risk Management for businesses as diverse as repo, cleared and uncleared derivatives, margin and stock loan. Explore the importance of collateral management as a method of credit enhancement and risk mitigation. Recent market events and regulatory trends have an impact on both the supply and demand of high-quality collateral and underscore the importance of collateral optimization. Discover how financial firms and their clients manage their collateral inventory and deal with associated operational risks and areas of exposure.