Spotlight Series 1
| March 11th, 2009 | Credit Exposure Management in a Post-crisis World (3) Part 3 - Weather forecasting, black swans and the capital markets crisis In the third installment of a series of 3 papers on central counterparties, bilateral margin agreements, OTC derivatives, weather forecasting, and a global risk research model, Bill Hodgson explains what we can learn from the weather system about global co-operation when it comes to managing financial risks. |
| February 10th, 2009 | Credit Exposure Management in a Post-crisis World (2) Part 2 - Comparing the ISDA bilateral exposure management model with a CCP The current bilateral exposure mitigation tools used by ISDA members provide protection in the OTC market, now is the time to learn from the CCP approach and consider what the future is for these techniques, Bill Hodgson explains. |
| January 19th, 2009 | Credit Exposure Management in a Post-crisis World (1) A central counterparty for OTC credit derivatives – are we over estimating the importance? Part 1 of a series of 3 papers on central counter parties, bilateral margin agreements, OTC derivatives, weather forecasting, and a global risk research model written by Bill Hodgson of Adsatis. |
