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Nov 2013
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Venue

Venue TBD Washington , District of Columbia
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2nd Annual Collateral Management Conference

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Overview

2nd Annual Collateral Management

The GFMI marcus evans 2nd Annual Collateral Management Conference is a two-and-a-half day, educational focused meeting. Driven by single-track, case study presentations, the meeting will divulge how financial institutions are managing the liquidity squeeze while achieving collateral optimization, the impact of CCPs – now that they have gone live and how to deal with the new regulatory environment.

Via interactive debates and panel discussions, Heads of Collateral Management, Securities Lending, OTC Operations and COO’s from banks will discuss the current issues that stem from the new regulatory regimes.

Attendees will be afforded the opportunity to interact with speakers and their peers in a classroom style setting that will encourage both audience participation and engagement. Seating for this conference is limited to maintain an intimate educational environment that will cultivate the knowledge and experience of all participants.

Key Topics

Assess the impact of CCPs and clearing risks

Realign swaps market issues under new regulatory guidelines

Recognize the practicality and future of margin management

Discern the impact collateral transformation and futurization will have on the liquidity market

Distinguish the opportunities and benefits of collateral optimization

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