Financial services firms are fighting a two-front battle to optimize collateral management, especially when trading in uncleared, over-the-counter (OTC) and exchange-traded derivatives (ETDs) markets.
They face new margining challenges via volatile markets created by the Black Swan and global pandemic lockdown.
Secondly, the regulatory reforms of the Uncleared Margin Rules (UMR) have ripple effects beyond overhauling initial and variable margin levels needed for uncleared swaps. Fill out the form to get access.
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