The financial landscape has evolved over the past five years with the heightened expectation that market infrastructures will further refine their risk management models and focus on asset safety. The lessons from the Global Financial Crisis have taught the industry that the need to restore stability …
Continue readingCollateral squeeze – who can afford it?
When Lehman Brothers faced collapse, pressing margin calls and the lack of liquidity exposed the interdependencies and weaknesses of the financial markets and sparked the Global Financial Crisis (GFC) …
Continue readingThe importance of a Trade Repository for over-the-counter derivatives
In the aftermath of the global financial crisis, great concern was expressed over the lack of transparency and risk management of the over-the-counter (OTC) derivatives market, which many believed to be one of the fundamental causes for …
Continue readingFinancial market experts: Crisis is not over
On October 2nd 2012, the financial industry gathered at a conference hosted at the Gordon Institute of Business Science (GIBS) to hear from influential leaders as to whether the financial market could be sitting on the cusp of another crisis. In response, they believe the crisis is not yet over …
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