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Resources

Industry Reports, Webinars, Case Studies & Whitepapers.
Case Study

Improving Fund Returns using Collateral Optimization: Harnessing Cassini at a Prominent Pension Fund

Case Study

How a trillion-dollar Asset Manager set up its margin, collateral and funding desk

Case Study

How Cassini helped a Hedge Fund Optimize their Margin Strategy to Lower the Cost of Trading Derivatives

Case Study

How a Global Energy Firm Optimized their Margin Strategy and Reduced Initial Margin by 47%

Case Study

AANA Monitoring And Optimization Strategies

Industry Report

SFT Collateral Annual 2024

Industry Report

SFT Technology Annual 2023

Webinar

Collateral resiliency in a turbulent market

Industry Report

AIMA Journal #132

Industry Report

Margin Management for Hedge Funds; An increasingly Complex Calculation

Industry Report

Hedgeweek Technology Annual Report 2022

Webinar

UMR Backtesting: Here To Stay

Webinar

Webinar Recording – Enhancing Collateral Resilience: Strategies for Liquidity Preparedness

Webinar

Avoiding collateral damage in a stressed market

Case Study

How Cassini helped a Phase 4 Hedge Fund reach front-to-back compliance with UMR

Webinar

Collateral Optimization: from buzzword to reality

See all resources
Latest industry insights & margin matters.

Efficient Treasury Management for Hedge Funds

Reactive Liquidity Management Isn’t Enough Anymore

The Importance of Stress Testing for Liquidity Preparedness and Collateral Resilience

Thomas Griffiths
Margin preparedness

Margin Transparency: Regulatory Pressures and Strategic Solutions for CCPs and Clearing Members

Thomas Griffiths
market volatility

August Market Volatility – Cross Asset Global Impact Triggered by an Unprecedented Interest Rate Shift

Vardaan Kohli
Margin transparency

Liquidity Preparedness for Margin and Collateral: Preparing for the Unpredictable

Thomas Griffiths

Transparency and Allocation of Prime Broker Margin: Essential Insights for Hedge Funds

FINRA4210

Mastering the Margins: Strategic Guide for Hedge Funds Navigating FINRA Rule 4210

Vardaan Kohli
market volatility

Updating Prime Brokerage Margin Models: The Need for Transparency and Real-Time Risk Management

Vardaan Kohli
Prime Broker Hedge Funds

The PSA Clearing Mandate Exemption has ended: What does this mean for pension funds?

Subrato Roy

Beyond ‘Systems’, Beyond expectations: Cassini Systems rebrands as Cassini

margin management

The Role of Margin Management in Reducing the Cost of Trading

Thomas Griffiths
Margin preparedness

Market movements: No margin for error

Thomas Griffiths
collateral optimization

Maximizing returns while minimizing risk: the buy side’s path to collateral optimization

Thomas Griffiths

The SVB collapse, and the lessons that followed in liquidity management

Subrato Roy

Collateral Resiliency: 3 Ways Pre-trade Analytics Can Address Risks for the Buy Side

Liam Huxley

How asset managers used margin forecasting and stress testing to manage collateral and liquidity risk during the mini-crisis in the UK Bond Markets.

market volatility

How did extreme market movements cause significant margin calls last week?

The impact of volatile markets on PB Margining: Understanding margin model changes and the impacts on your portfolio

Lottie Griffiths

Hedge Funds: Managing Risk and Chasing Growth in a Volatile Market

Vardaan Kohli

PRA Reviews the ISDA SIMM® Model: What it means and what to expect

Collateral Optimization: Take Control of Your Trading Costs – From Pre-Trade to Post-Trade

Lottie Griffiths

UMR Phase 6: Easy steps to rethinking margin management ahead of the deadline

Lottie Griffiths

Phase 6 UMR: SIMM vs GRID, and which approach is best for your firm

Vardaan Kohli
FINRA4210

Pre-trade Analytics: The Precursor to UMR Threshold Monitoring and Cross Asset Margin Management

UMR in scope, or not in scope – that is the question?

ASFA Webcast: Collateral is now an asset class – controlling margin and funding costs

UMR Backtesting: Here to stay

Improve collateral resilience through analytics and optimization

FINRA4210

Cassini Cares Charity Fundraising Initiative – KidsOut Partnership

Hedge Funds face strict new rules – are you prepared?

Banks overhaul Prime Brokerage Lending after suffering $10 Billion in losses to Archegos; how can hedge funds navigate this?

The Art of Listening: Highly Effective Financial Technology Leaders listen to customers and look to solve their problems

The 3 C’s of UMR – Compliance, Controls and Cost

Margin preparedness

Effective AANA management can move firms outside scope of UMR

Vardaan Kohli
See all insights
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