Collateral Management in Banking Summit 2015

  • 03-05 Feb 2015
  • Vienna, Austria

Description

The Collateral Management in Banking Summit 2015 is a conference that covers topics such as:

  • What are the main challenges and new systems required when optimizing collateral?
  • How the market regulations affect collateral transformation and implementation – challenges of the new collateral era
  • What is the impact of the initial margin call activity – how the margin requirements affect the collateral optimization?
  • How to meet the demand in an environment of low liquidity? Intraday liquidity and optimization
  • Benefits and risks with CCPs – the role of the central counterparties

The Collateral Management in Banking Summit 2015 brings together senior attendees from from the Collateral management field, involved in:

  • Repo Trading
  • Collateral Trading
  • Liquidity Management
  • Credit Risk
  • OTC Derivatives
  • Compliance and Legal Division
  • Portfolio Management
  • Securities Lending
  • Margin Valuation and Operations

Past Events

Important

Please, check "Collateral Management in Banking Summit" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance, Risk Management
Services: Banking

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