Email Us
US: +1 339 469 0600
EMEA: +44 (0) 20 3006 6490


Mar 21, 2019 10:30 AM - 11:30 AM ET    Online

Derivatives and Collateral Management



Since the last major financial crisis, we've had more than a decade to figure out what went wrong and how to keep it from happening again. This session explores some important questions. What have we learned about the role derivatives played in the crisis? Have buy-side firms learned how to avoid them or at least use them more wisely? Are there indications that a new crisis could be brewing for similar reasons? Which providers can you count on to serve your firm's needs?