3rd Annual Impact of CCP Risk and Initial Margin on Counterparty Risk Management, 22 May 2019 - 24 M
Reference Number
RF104748
Description
This marcus evans conference will show banks how to develop a counterparty risk methodology which minimises the implications of CCP default and bilateral initial margin through strategic risk management. The conference will look at the margin and capital costs of CCPs and IM and what clearing activities will look like following Brexit.
Key Topics
- Manage exposure to CCP risk through strategic risk management decisions in CCR
- Understand the implications of initial margin reforms for CCR
- Understand the margin and capital costs of CCPs and IM, and relating this back to CCR
- See what clearing activities will look like following Brexit
where:Marriott Canary Wharf, London, UK
website
Posted
5 years ago
Country
India
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