We are pleased to announce the launch of Securities Finance Monitor Magazine. Hard copies were distributed at ISLA and to subscribers who completed their registration information. Download your free copy here. We welcome your feedback.
Featured in this issue:
- The Buy-side Breaks Into Securities Finance CCPs
- A European Regional Perspective on Market Reform and Growth
- Rising Performance in European Securities Lending Markets – The Supply and Demand Effects of QE and HQLA
- Allocating Resources to a Repo Business: The Tools Banks Use
- Securities Lending: Follow The Money to Find The Liquidity
- The Growth of the Utility Model in Financing, Clearing and Collateral Management
- Repo and the Net Stable Funding Ratio: The Push Toward Long-Term Funding
- Strategies for Securities Finance Business
- When Smaller is Better: New Opportunities for Mid-Sized Brokers and Agent Lenders
- The Impacts of T2S on Collateral and Liquidity
- A Target Operating Model for Non-Cleared Derivatives