Custody risk
Custody RiskWith new regulations on central clearing, margining and collateral segregation coming into effect, the role of the custodian is arguably more important than ever. Custody Risk includes news, analysis and research on the latest industry developments. Click here to read the latest issue. Click here to see the digital edition |
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Outsourcing, especially amongst asset owners, is driving mandate growth. Citi, SGSS and BNY Mellon among those to win mandates in the first few months of 2013, finds Luke Clancy
BNP Paribas scored the largest mandate in 2012, at a time when regulatory and reporting requirements are encouraging greater outsourcing by asset managers. Luke Clancy reviews the major mandates in 2012...
Stop-gap margin solution would force most firms to post twice as much collateral as CCP members
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Custody risk articles
Nicolas Billeaud, head of securities finance and cash management at New York-based broker/dealer Saratoga Capital reflects on the cross-border stock loan and equity swap market
To allow regulators to aggregate data on derivatives trades sent to trade repositories, reporting needs to achieve global standardisation but progress towards this goal is proving a long road. Five industry participants give their views.
Esma chair Steven Maijoor talks about crossing swords with the European Parliament, extraterritorial implications for Emir and scrutiny of the agency's mandate, among other issues
Broker seeks to broaden its Asia offering by adding OTC IRS clearing in Singapore
Preparations are "running very smoothly" says CFTC chairman, ahead of first clearing deadline
The first mandatory reporting requirements in Europe could begin in July, but more detail is needed on how the system will work, market participants say
Wind the clock back a year, and one of the big concerns for derivatives market participants was that national regulators would fulfil the Group of 20 clearing commitment by insisting that a portion of trades in their market would have to go through a...
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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