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This white paper looks at the heavy impact of regulation on investment managers, the mitigation of outsourcing risk, inefficiencies in corporate actions processing and the growing importance of collateral management.
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A rocky future?
Getting on track?
Another central counterparty plans to launch in Europe, starting with zloty-denominated interest rate swaps
Events in the Eurozone have put the brakes on eastern Europe’s strong recovery from the financial crisis, but bond investors continue to identify opportunities in the region, particularly amongst ...
Bond investors are looking to the relative safety of Poland and the Czech Republic as the Eurozone debt crisis takes toll on eastern Europe’s smaller economies.
This whitepaper reviews the fundamental changes of Liquidity Risk Management under Basel III. It discusses how institutions can meet the regulatory requirements on liquidity risk management by enhancing their liquidity risk analytics, funds transfer pricing methodologies, liquidity stress testing frameworks, and enterprise risk management platforms.