The European Securities and Markets Authority, the EU’s securities markets regulator, is organising a workshop on CCP margins and procyclicality in times of crisis which will...
Steve French, Head of Traiana Product, and Basu Choudhury, Head of Traiana Business Intelligence for Post-Trade & Optimization Services, discuss how recent market events, including increased volatility and active risk management,...
XBRL confirmed this week the publication of the Taxonomy Development Handbook, a guide for regulators, industry experts, and businesses to building data standards that...
How have technology priorities changed as a result of the pandemic?
In the areas of financial crime compliance, cybersecurity, and operational risk, COVID-19 is having...
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This one-day course is designed for margin and collateral management practitioners, credit and counterparty risk managers, treasury...
For more info or to register, click here.
Margin and collateral provide the essential foundation for global capital markets to function – the lubricant for...
Bernard S. Donefer, a Wall Street veteran and now professor at NYU Stern and Distinguished Lecturer at Baruch CUNY graduate business schools, has created...
Securities Operations Bootcamp
July 15-17, 2019, New York City
Today’s ever challenging world is overtaken by incorrect or inappropriate securities valuations, Financial Derivatives, High-Frequency Trading and...
Advanced Derivatives Certificate
May 7-9, NYC
June 18-20 , Chicago
The Advanced Derivatives Certificate Program is designed to deepen participants’ knowledge regarding the methodologies used in valuing derivative...