Feature
| January 23rd, 2012 | The Interconnectivity of Regulation & the Risk, Cost & Operational Impact on Asset Managers Natalie Westerbarkey, Director, Client Executive at Citigroup Securities and Fund Services discusses how through understanding the new regulatory landscape and intersection (or interaction) of rules, asset managers can better assess the impact these new rules will have on their costs, risk management and operations |
| January 4th, 2012 | SEC Names Pamela A. Gibbs as Director of the Office of Minority and Women Inclusion The Securities and Exchange Commission today announced that Pamela A. Gibbs has been named as the inaugural Director of the Office of Minority and Women Inclusion, which oversees diversity in the agency’s employment, management, and business activities. |
| November 25th, 2011 | OTC Derivatives Documentation: the Need for Standardization In a DerivSource Spotlight article, Sapient Global Markets explores some of the key impacts regulatory reforms will have on the documentation of OTC derivatives. |
| October 25th, 2011 | Apportunity? An App Marketplace for Trading OTC Derivatives A new app marketplace for OTC derivatives that is low cost and regulatory compliant is nearly at hand, but are financial institutions and derivatives users ready for this innovative concept? DerivSource's Julia Schieffer talks to DerivaTrust founders and market participants about this new ‘app swarm’ for trading OTC derivatives. |
| September 20th, 2011 | Basel III: Implications on Collateral Services (Part II) Basel III presents new challenges to collateral trading activities and collateral management operations. In part II of a series, GCMS’ Saheed Awan explores the impact Basel III and central clearing of OTC derivatives will have on collateral trading activities and he calls for the restricted view of collateral management to be expanded to support efforts to achieve greater efficiency through improved and centralised processing. Regulators and bank supervisors have become investment advisors! |
| August 25th, 2011 | The Buy Side Weighs in on the Current Practices for Managing Collateral Post-Crisis and Ahead of Central Clearing How are investment managers improving collateral management processes three years after the Lehman Brothers default and one year after ISDA published its best practices ‘guide’ for the market? DerivSource’s Julia Schieffer talks to industry participants about their view on true market practice and concerns on managing margin within a central clearing environment. |
| June 10th, 2011 | Basel III and the Impact on the Collateral Services Industry In the first instalment of a two-part series, GCMS’ Saheed Awan explains the likely implications of Basel III on collateral management activities including liquidity management. |
| May 1st, 2011 | Custodians Gearing Up to Support More Complex Collateral Management Needs of Buy-Side Clients Growing complexity in managing collateral resulting from new CCP collateral requirements and regulatory reform is driving buy-side firms to consider outsourcing the back office function to custodians. DerivSource’s Julia Schieffer speaks to the custodians about how they are enhancing collateral management service offerings to support new needs of clients in a new marketplace. |
| March 15th, 2011 | Regulatory Readiness: The Data Management Challenge In this Webinar, experts explain the impact of regulation on reporting and data management and explore how financial institutions can improve operations to meet new OCR and OFR reporting requirements |
| February 23rd, 2011 | Exploring Title VII of the Dodd-Frank Act & the Impact on Margin Posed by End Users The Commodity Futures Trading Commission (CFTC) and the Securities and Exchange Commission (SEC) continue to issue regulations implementing the OTC derivatives provisions of the Dodd-Frank Wall Street Reform and Consumer Protection Act (Dodd-Frank). In a Q&A, Robin Powers of the Rimon Law Group discusses Title VII of Dodd-Frank and its impact on margin/collateral posed by End-Users. |
