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The time is now

With the final phases of initial margin approaching, David White of TriOptima explains how his firm enables you to meet your IM obligations with ease

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The path to optimisation

John Southgate of Northern Trust suggests the changing regulatory landscape has caused an increased demand on client collateral

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It’s time for collateral management to return from the margins

Mark Baker of SimCorp assesses the results of two recent surveys to gauge what matters most when optimising collateral and controlling liquidity

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The way of the dinosaurs

Collateral management looks increasingly unlikely to go the same way as the oil or gas industries and become a commodity product. Instead, firms will look for providers with broader selling points, argues Robert Almanas of SIX Securities Services

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Survival of the busiest

Fund administrators must get busy or die trying, according to a panel of experts

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Are you managing your collateral effectively?

The buy side will need to look to sell-side firms and their global custodians for assistance with tricky collateral raising and allocation, says HSBC

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The final countdown

Elspeth Goodchild of Rule Financial explains how institutions can gain support from triparty structures in the countdown to compliance

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