In the second of a series of articles on collateral management strategy, Bob Currie examines steps to address collateral fragmentation, potential benefits from tokenisation and the essential need to be working with good data
In the first of this series of articles on collateral, published in SFT 321, we discussed how regulatory drivers, macroeconomic conditions and operational priorities have each played a role in driving firms to upgrade their collateral ecosystems and take an enterprise-level view of their collateral inventory and financing requirements.
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