A recent paper produced by DTCC-Euroclear GlobalCollateral and PwC had the compelling title, “Collateral Management 2.0: Preparing for OTC Derivatives Margin Regulation and Beyond.” Reading through, we wondered what parts were 2.0, what were iterations on historical collateral management activity, and what was part of a bigger theme in banking today.
This content requires a Finadium subscription. Articles with an unlocked symbol can be accessed with free registration. Log in or create a free account by signing up here..