EU securities market regulator says that the COVID-19 crisis, which provided a live test of CCPs鈥 operational resilience, has prompted a review of its anti-procyclicality tools and its supervisory framework for central clearing
European securities market regulator clarifies its supervisory approach on implementation of buy-in regime, confirming news from November that it has asked co-legislators for a delay in buy-in element
The joint letter, written in the shadow of the Archegos default, requires banks鈥 senior management to assess their equity finance businesses and associated risk management, reporting back by end of Q1 2022
Acadia, provider of integrated risk management services for derivatives companies, and Capitolis, the SaaS platform provider, have partnered to launch SA-CCR Optimization
European capital markets require threefold policy action based on building a true EU single market for financial instruments, improved data quality and transparency in European markets, and strengthened investor protection standards
Today鈥檚 meeting of the Financial Stability Board Regional Consultative Group for Asia reflected on concentration risk arising from dependence on a small number of third-party service providers, along with macroeconomic imperatives linked to COVID-19
The proposals aim to align the UK derivatives reporting framework with international guidance from CPMI-IOSCO to ensure a more globally consistent data set