Swaps and Derivatives 2012

  • 04-05 Dec 2012
  • New York City, NY, United States

Description

Topics
  • Early stages of swap reporting compliance
  • The new regulations effects on leading trading firms across the derivatives market
  • Dodd-Frank regulations
  • Position limits effects on hedging strategies in derivative portfolios
  • How to create accountability and promote efficiency
  • Manage collateral in a centrally cleared process
  • Improving efficiency in centrally cleared trades
  • The interaction of Volcker Rule and new Dodd-Frank regulations
Who should Attend

Managing Directors, C-level Executives, SVPs, EVPs, Directors, VPs, Senior Executives and Heads involved in: Compliance, Derivatives, Risk Management, Trading, Reporting, Back Office Operations, Controller and Clearing.

Past Events

Important

Please, check "Swaps and Derivatives" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance, Risk Management
Government & Global Issues: Law & Regulations
Services: Banking
Technology: Digital Infrastructure, Information Technology (IT)

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