As collateral optimization turns from buzzword to reality, we’ll discuss how effective collateral optimization is now becoming critical. Not only to protect against defaults, but how it has become an integral part of operations to determine the life time costs of a trade.
Our expert panel as they explain what optimization actually means for you and your firm, and why both the buy-side and sell-side are now looking to implement solutions and best practices around collateral
About Cassini Systems
Front-to-back, pre-trade to end-of-day margin, collateral + cost analysis across the entire lifecycle of a trade for any asset class and for cleared/uncleared derivatives. Monitor, optimize and ensure transparency on margin and ensure collateral liquidity; lowering the carry cost of derivatives.