Asset Owners

Post-crisis COOs turn to outsourcing for collateral management

The global move towards central clearing, and the posting of margin on uncleared OTC derivatives, sees asset managers increasingly looking to outsource collateral management.

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Which of the following is of greatest concern for 2015?





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Oil price volatility
  39%
 
Emerging market crisis/contagion
  20%
 
China GDP slowdown
  9%
 
Financial instability in China
  19%
 
US interest rate hike
  13%
TOTAL VOTES: 100
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December 2014 Magazine
AsianInvestor Magazine

What's in this issue

NZ Super: guardians of governance
Asian insurers on diversification drive
China's 1.4 billion (dollar) question
End of the EM carry trade?