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Regulation resulting from the financial crisis continues to increase the costs and complexity of trading, making it harder for investment managers to express their market views as efficiently as before. With returns under pressure, how can innovative margin optimization techniques play a hand in bringing much needed capital efficiency back to long-standing trading strategies?

Join Greenwich Associates, special guests from BlackRock and Citi, and OpenGamma for an informative discussion on:

  • Opportunities behind margin optimization in a post Dodd Frank/EMIR world
  • The impacts of margin requirements on collateral management and fund returns
  • How top firms are using margin optimization to boost returns

NOTE: Please use your company email address to register for the webinar. We do not accept generic email addresses, such as yahoo and gmail.

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