Securities finance impacts from Japan’s recession, buy-side mergers and UMR collateral demand (Premium)

Securities finance is often the tail that gets wagged by the big dogs of macroeconomics and industry decision making. We’re seeing three trends that market participants should watch out for as they impact securities lending, repo and collateral activities. Plus, we review a new database on bank wholesale funding exposures.
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..

Related Posts

Previous Post
Office of Financial Research publishes bank systemic risk monitoring tool
Next Post
Academic paper on US bank borrowings from Federal Home Loan Banks

Fill out this field
Fill out this field
Please enter a valid email address.


Reset password

Create an account