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Webinar: Risk Management in times of COVID-19

Eurex Exchange, Eurex Clearing

Webinar: Risk Management in times of COVID-19

  • Start:27 May 2020 04:00 PM

Margins, collateral, liquidity – It’s anything but marginal

Market turmoil reminds everyone that margin optimization, margin methodologies, counterparty risk, and funding are essential elements in the total risk/reward profile of a portfolio.

Join our webinar on 27 May where we dive into the effects of extreme market volatility from a back and mid-office perspective. The session will be moderated by Phil Simons from Eurex, with contributions from industry experts.

Panel experts will cover the following points during the webinar:

  • How resilient are margin methodologies during periods of extreme volatility?
  • Margin management considerations - from an operational and funding perspective
  • Margin optimization opportunities: Do they exist? 
  • How to ensure the risk-reward profile of a securities lending programme is aligned with current market conditions?
  • Performance & development outlook of the repo market in light of the COVID-19 crisis

Moderator:

Philip Simons, Global Head of Sales, Fixed Income, Funding & Financing, Eurex

Speakers:

Dmitrij Senko, Member of the Executive Board and Chief Risk Officer, Eurex

Frank Gast, Managing Director at Eurex Repo and Head of Sales Europe – Fixed Income, Funding & Financing, Eurex

Nicky Parsons, Head of Sales, Head of Fixed Income Prime Brokerage Product Development, Societe Generale

Ricky Maloney, Head of Buy Side Sales, Fixed Income Funding & Financing, Eurex

Stephen Plestis, Head of Sales, OpenGamma

Date:

Wednesday, 27 May 2020

Time:

04:00 PM Frankfurt
03:00 PM London
10:00 AM New York

Duration:

60 min

Note: Please note that firewall or security systems by your company might block access to the registration page. If this is the case, please check with your IT department for technical options or forward the link to a private device.



 

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