Bny mellon
In June 2012, BNY Mellon launched Global Collateral Services with a focus on being clients’ first call for all their collateral needs, building on an established global infrastructure with $2.1 trillion...
BNY Mellon has made several new hires across four businesses, including appointing Dean Sakati to head strategy for securities finance within global collateral services, and Mark Gonzalez as US chief operating...
Although initially sluggish after the credit crisis, the loans market has grown in recent years. Paul Traynor, head of insurance services, EMEA at BNY Mellon, explains why investing in loans could offer...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Bny mellon articles
Dominick Falco, Asia-Pacific Head of Global Collateral Services at BNY Mellon, explains why he believes insurers in particular have a lot to gain from a more holistic approach to collateral
Dallas-based Highland Capital has appointed a director of business development and of client services. Several service providers to the hedge fund industry are expanding their geographical reach.
Currently only two Asian currencies figure on international clearing houses’ list of suitable collateral, but with another five CCPs set to be launched around the region the spectrum of instruments used will broaden. What will be acceptable and will...
Grundmann joins JP Morgan from BNY Mellon; HSBC Securities Services appoints global head of transfer agency and distribution support; Northern Trust makes senior appointments
India central bank views repo as an increasingly important market in the wake of Basel III implementation
New York’s BNY Mellon has sold off its retail operations and holds no prop trading book – but operational risk is more important than ever for the company, with customer due diligence and business continuity particular worries, op risk head David...
Despite a long history in Europe covered bonds are new to Asia – but with Basel III placing an emphasis on high quality debt instruments regulators in the region are facilitating their issuance
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
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