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Q & A

February 6th, 2012 Swap Dealers – Tackling Tasks to Comply with Dodd-Frank
January 2nd, 2012 Year in Preview: ISDA's Operational Priorities & Projects for 2012
November 2nd, 2011 Investing in Operations to Satisfy Regulatory Requirements & Investor Demands for Transparency
September 22nd, 2011 Shifting away from Silos: The Value of an ERM Strategy in Today’s Market Environment
August 12th, 2011 Proactive Preparation: Identifying Priorities & an Action Plan to Meet Dodd-Frank’s Title VII Requirements
June 30th, 2011 The Building Blocks of a Client Clearing Service Model for Central Clearing of OTC Derivatives
May 31st, 2011 Devil in the Detail: Derivatives Documentation in a New Market Environment
April 28th, 2011 An Enterprise-wide Approach to Collateral Management - the Challenges and Opportunities
March 6th, 2011 Data Management to Meet Regulatory Requirements & Support New Risk Management Strategies
February 7th, 2011 Electronic Messaging for Margin Calls - a New Best Practice for Collateral Management
January 25th, 2011 Sell-Side Perspective: The Challenges and Benefits of Collateral Optimisation
November 30th, 2010 Client Clearing: Managing a Multiple CCP Environment & Customer Expectations through Technology
October 29th, 2010 Hedge Funds: Risk Reporting to Meet Demands of Regulators and Investors
September 21st, 2010 The Dodd-Frank Act's Title VII in Brief
June 17th, 2010 The Role of Transaction Data in US Regulatory Reform & the Quest to Monitor Systemic Risk
May 10th, 2010 Meeting Multiple Demands for Transparency in the Valuation of OTC Derivatives
April 8th, 2010 Hedging Counterparty Credit Exposure: the Evolution of CVA
March 2nd, 2010 Why the FSA Gets It
December 15th, 2009 How Are Institutional Investors Changing the Hedge Fund Industry?
November 15th, 2009 Insurers: Changes in Pricing & Risk Management Practices for Variable & Fixed Annuities in the Current Climate