The Advisory Scientific Committee of the European Systemic Risk Board published a report discussing how excessive regulatory complexity can contribute to systemic risk and possible ways to address the issue,…Read More
Buy-side innovation in collateral management continues to be driven by firms’ needs to align with the business, control costs and provide transparency. In an interview with Securities Finance Monitor, Grigorios…Read More
Office of Financial Research (OFR) on large US banks and systemic risk: what indicators are they looking at?
The Office of Financial Research (OFR) published on February 12, 2015 “Systemic Importance Indicators for 33 U.S. Bank Holding Companies: An Overview of Recent Data“ by Meraj Allahrakha, Paul Glasserman,…Read More