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Toning up in the collateral gym



In the first of two articles on collateral management strategy, Bob Currie examines advances in collateral optimisation and electronic negotiation of collateral schedules
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Broadening the market



Paul Solway, communications officer at PASLA and BNY Mellon’s head of securities finance for Asia, speaks to Carmella Haswell about the opportunities presented across the APAC market, PASLA’s focus for 2023 and how Q1 is shaping up for the industry
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The art of the possible



While not providing a silver bullet, the application of technology to specific pain points offers potential for major efficiency gains in securities finance. Carmella Haswell reports
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Preserving calm at year end



Published each January, the ICMA European Repo and Collateral Committee year-end report examines how end-of-year conditions have impacted leading repo markets. Bob Currie analyses its latest release
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Cleared repo feels boost of monetary normalisation tailwind



Bob Currie speaks to Eurex Repo’s Frank Gast, Carsten Hiller and Jonathan Lombardo about the rediscovery of GC Pooling as a liquidity management solution, steps to attract buy-side customers to cleared repo and the organisation’s strategic focus for 2023 and beyond
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Industry associations urge review of SEC treasury clearing proposals



Bob Currie examines how the industry has reacted to SEC proposals, announced for consultation in September 2022, that could mandate central clearing for a wide array of US treasury-based transactions, potentially including repo, securities lending and UST cash securities trades
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Progress in the face of uncertainty



Despite a particularly volatile environment, securities lending continued to thrive in 2022. Kyle Kolasingh, director of securities finance at RBC Investor & Treasury Services, shares his perspective on the past year and what lies ahead for 2023
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A centralised system



The Know-Your-Client process is the backbone of a successful compliance and risk management programme, but market participants are voicing concern over the labour-intensive process. Transparency, centralisation and automation are key to tackling the complexity of KYC, writes Carmella Haswell
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UMR and FX clearing: a new landscape offering many benefits



UMR adoption has generated an exponential growth in regulatory IM, driving more focus on collateral management and optimisation. Vinayak Dange, head of product management, clearing and reconciliation at Adenza, says firms stand to gain from FX clearing