Buy-sides to see stricture rules on margin for uncleared swaps in early 2017
By Helen Nicol, global
product director of collateral solutions at Lombard Risk
Collateral management is impacted by the
current and future regulations together with transformation of
the European post-trade environment. As margin requirements and
liquidity ratios increase, collateral management has become a
significant focus for buy-side managers. There will be a
greater need for buy-side firms to reshape their collateral
management operations going forward. It will be key for firms
to stay at the forefront of regulatory change and, with the
right solutions in place, regulation can be seen as an
opportunity for firms to utilise the latest technology and be a
step ahead of their competitors. Now is the time for the
buy-side firms to take control of their collateral.
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