Helen Nicol, Global Product Director – Collateral Solutions, Lombard Risk, discusses the strategic collateral management options firms are evaluating as they look to comply with regulations, including Basel III, Dodd-Frank, EMIR, and MiFID II, despite ongoing uncertainty caused by political disruptions.
Topics include: buy & sell-side firms increased workload as regulation deadlines loom; Brexit’s political impact and the need for firms to stick to and prepare for the regulations according to the deadline; the processes of preparing for compliance including the benefits and drawbacks when deciding whether to buy, build or outsource.
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