The European Parliament’s recent vote on EMIR suggests that proposals to ease the burden of reporting will finally come to fruition this year. Continue reading EMIR Gets Much Needed Makeover
The cost burden of SFTR was a major talking point at the 27th annual Securities Finance and Collateral Management Conference. Continue reading ISLA Conference: Industry Calls for Aligned Approach to SFT Reporting
There is no let-up in policy makers’ activities as we near the holidays. Here’s a look at the recent moves to revise EMIR variation margin rules, and the FCA once more showing policy leadership. Continue reading FCA Takes the Lead on EMIR Margin Revisions
We examine the European Commission’s proposed reforms to EMIR and what asset managers can expect. Continue reading Easing the Rules? What you Need to Know About the Future of EMIR
Garrett Berkery warns that asset managers should not underestimate the coordination required to comply with the new reporting requirements for securities financing transactions.
Stephen Bruel, Head of the Derivatives and Collateral Management, and Bijal Shah, Global Head of FX Contracts and Regulatory Strategy at Brown Brothers Harriman discuss the upcoming variation margin rule. Continue reading “Derivatives Regulation -The Journey Continues”