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Analysis > Analysis and Strategy

Collateral management

Kelly Robinson, Manager, Strate's Collateral Management Services
Jan. 11, 2017, midnight
639

Word count: 1331

The 2008 global financial crisis occurred largely due to an increased level of counterparty credit risk and the inability of counterparties to stand good against their obligations. Approaching a decade on, financial market players should be fully aware of the regulatory ramp-ups and reforms being implemented to negate against anything similar happening in future.  

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