11th Annual Collateral Management Forum

Amsterdam
5-6 October 2017
fleming.events
Join us at the 11th Annual Collateral Management Forum to stay up to date on all the latest issues and developments in the industry. Discover the new margin landscape and review the first six months of uncleared margin rules. Find out how Brexit will change the industry, prepare for MiFID II and more – all with our expert speakers who bring insights and experience from the front lines.

New insights on margin requirements, by ING
Considerations for the implementation of uncleared margin requirements
• New agreement hierarchies •
• New margining process •
• New tri-party relationships •
• Automation of the VM and IM margin process •


Different perspectives on the new CCP landscape and its impact on the buy-side in the
Panel Discussion:

The new CCP landscape
• Role of clearing brokers and their impact on the buy side •
• Changes to the buy-side approach •
• What are the risks? •
• New services in CCP •
• Recovery and Resolution Planning for CCPs •


2 parallel interactive workshops
Special Knot Slot session
ABN presentation on EMIR regulation
Insight from the USA on the Uncleared Margin Regulation topic
and much more can be found in the program.


Upcoming events
The latest Securities Lending industry events
June 2017
20-22
The International Securities Lending Association is delighted to announce that its 26th Annual Securities Finance and Collateral Management Conference will take place in Berlin....
October 2017
5-6
Join us at the 11th Annual Collateral Management Forum to stay up to date on all the latest issues and developments in the industry.
November 2017
9-10
The newly emerging FinTech solutions along with the implementation of this year's non-cleared margin rules and the aftermath of the changes are among the most important talking points within Collateral Management for this year.
Latest news
The latest news from Securities Lending Times
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Brexit may push out small lenders
22 June 2017 | London | Reporter: Drew Nicol
Smaller beneficial owners are at risk of being pushed out the market by rising regulatory compliance costs, a revenue squeeze and Brexit
UK Money Markets Code to rebuild trust
22 June 2017 | London | Reporter: Drew Nicol
Industry representatives drafted the code in partnership with the Bank of England (BoE) to replace the previous guidance, which has been judged to be outdated
Quantitative easing going nowhere for now
22 June 2017 | Berlin | Reporter: Mark Dugdale
The European Central Bank (ECB) left interest rates unchanged earlier in June and expects them “to remain at their present levels for an extended period of time, and well past the horizon of the net asset purchases”
Rule 15c3-3 reform proposes equities as collateral
22 June 2017 | Berlin | Reporter: Mark Dugdale
Potential reform of SEC Rule 15c3-3 is likely to change the US market, but the likes of the UK will see a realignment in trading rather than an out-and-out replacement
T2S approaches maximum speed
21 June 2017 | Berlin | Reporter: Drew Nicol
The last phase will see central securities depositories (CSDs) in Estonia, Latvia and Lithuania brought onto the platform by the final 18 September deadline
Fragmentation would weaken central clearing, says Mark Carney
20 June 2017 | London | Reporter: Mark Dugdale
In a speech at a breakfast event at Mansion House in London, Carney warned against carving up London’s clearing market once the UK leaves the EU
Pirum Systems and wematch.securitiesfinancing announce collaboration
20 June 2017 | London | Reporter: Mark Dugdale
Pirum Systems and wematch.securitiesfinancing have launched a collaboration focusing on securities finance trading and post-trade
Features
The latest features from Securities Lending Times
Experts discuss the current state of the European securities lending market
Senior business analyst Gilbert Scherff and securities finance and collateral management marketing director Martin Seagroatt break down what will be required of SFTR and explain how Broadridge Financial Solutions can help
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Getting to the final technical standards may indeed just mark the end of the beginning, but it is a significant milestone on this particular road. David Lewis of FIS Global maps out the rest of the journey to be made
SIX Securities Service—through SIX Repo—is developing a new methodology based on the seamless sourcing and pooling of collateral. Head of repo and securities finance Nerin Demir explains
Calypso Technology pits the viable options for a quick fix against implementing a strategic long-term solution for growth, and investigates the possibility of combining these options for the optimal securities finance solution
Matt Wolfe, vice president of new products and business development at OCC, explains how the central clearer is enhancing its stock loan programme to better serve the market
Rob Chiuch and John Templeton of BNY Mellon Markets discuss the potential impact of allowing equities to be used as collateral in the US
Tracey Adams of Lombard Risk examines examples of three challenges faced by market participants caught up on the first wave of SIMM
Country profiles
The latest country profiles from Securities Lending Times
Being an exciting emerging market is all well and good, but how long can that status really apply before interest wanes? India is doing its best not to find out
Hugh Leonard, director of repo sales at Australia and New Zealand Banking Group, explains how the Australian market has excelled in recent years
Asset Servicing Times

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Securities lending is in a strong place in Australia. Dane Fannin, head of capital markets in the Asia Pacific at Northern Trust, explains the available opportunities
Federico Ortega Gilly of Mexico’s Nacional Financiera explains why his country’s securities lending market is ripe for foreign investment
Russia’s National Settlement Depository has had a busy year making its securities finance market more robust and attractive to outside investors. The CSD’s Alina Akchurina explains the innovations being implemented
South Africa’s securities lending industry is on the verge of embracing a modern T+3 settlement cycle that could boost the country’s market
Experts on Canada’s securities lending industry discuss the market’s qualities compared to others, finding it to be a strong source of HQLAs
A difficult end to 2015 has not deterred securities borrowers and lenders in Asia, where certain markets enjoyed significant growth and offered new opportunities
Interviews
The latest interviews from Securities Lending Times