Digital Assets Report

Collateral Management has evolved tremendously today. This can be attributed to the volumes of collateral exchanged and the regulatory reforms that have followed. Understanding and adapting to these changes is becoming mandatory in order to move forward.
 
The 5th Annual Collateral Management focuses on regulatory reporting and challenges, initial margin requirements, buy side reactions to regulations and collateral optimization. The conference will be attended by presidents, directors, head and managers of treasury, risk management, portfolio management, credit risk, repo, collateral trading and several other sectors within the industry.

 
The conference gives you the perfect opportunity to address industry issues to the right people. Returning for the fifth time, Collateral Management 2015 will bring you latest industry insights from across the region.

Kindly forward your program inquiries to: [email protected].