News / Risk magazine
Banks look for clarity on collateral interest payments
Data shows users are not flocking to the product to avoid Sefs
Moving reference rate from Fed funds to GC repo rate to pose few problems
A highly engaging intensive one-week programme designed to meet the demands of the risk professional by bridging the gap between theory and practice in financial risk management. Save your seat now: programme starts March 23rd 2015.
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But concerns remain about effects on resolution and capital requirements
Fears relationship between credit indexes and constituents becoming more tenuous
Central bank will coordinate switch to new risk-free benchmark
High-quality ABS will need some form of public backing to reach potential
Top regulators want FSB to fix clash between reporting rules and privacy laws
Regulators focus on default management as CCPs target launch in early 2015
Draft rules "could be reworded" concedes National Treasury
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