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This 21st annual event for European investors seeks to provide Beneficial Owners with up to date education and practical know-how on Securities Lending, including the key elements of collateral management for Securities Lending. The programme will help investors to understand the current market landscape, how it impacts both fixed income and equities securities lending, and how investors should respond. Speakers in 2016 will discuss how to optimize collateral; CCPs; operating in a low or negative interest rate environment; the implications of European/US regulation for securities lending, repo and collateral management.