The Global Collateral Management Optimisation Summit brings together financial experts, risk managers, and technology innovators to explore strategies for optimizing collateral efficiency and mitigating risks in the dynamic financial landscape.
Topics
- Smart Contracts for Automated Collateral Optimization
- Data-Driven Collateral Valuation
- Collateral Management for Derivatives and Repo Markets
- Impact of Fintech on Collateral Management
- Impact of Artificial Intelligence on Collateral Management
- Margin and Collateral Management in Volatile Markets
- Collateral Optimization in Multi-Asset Portfolios
- Collateral and Credit Risk Mitigation
- The Impact of SCoRE on Cross-Border Collateral Management in Europe
Who should Attend
- Risk Managers
- Regulatory Professionals
- Technology Providers
- Asset Managers
- Industry Newcomers
- Financial Experts
- Banking Professionals
- Insurance Sector Professionals