Search results

Found  788 white papers and resources

Display results per page

Global securities enforcement activity stepping up to meet new market challenges

Company: Weil Gotshal & Manges

The US regulatory environment continues to revamp with new rules being issued to conform to legislative mandates in the Dodd-Frank Act. The UK and EU also seek to reinforce previous global initiatives to reform and strengthen financial markets. These developments and implications are discussed. VIEW SUMMARY

Category: Compliance | Published: 22 May 2013 | Type: White Paper

Rating: + 2

How can Sharepoint be used to enhance performance and reduce risk?

Company: Workshare

This white paper examines five common and important business use cases that require collaborative functionality that is not available or impractical to execute in SharePoint or Office 365 alone, but is easily supported with the addition of Workshare tools. VIEW SUMMARY

Category: Technology Systems and Software | Published: 26 June 2013 | Type: White Paper

Lender market advisory: swap guarantees – keepwells and excluded obligations

Company: Weil Gotshal & Manges

Under analysis in this white paper are options for addressing in loan documentation the US Commodity Futures Trading Commission requirement that guarantors of swaps that are not entered into on designated contract markets must be "eligible contract participants". VIEW SUMMARY

Category: Structured Products | Published: 22 May 2013 | Type: White Paper

FRCP and metadata: avoiding the lurking e-discovery disaster

Company: Workshare

You will learn practical ways to deal with the issues raised by metadata under the new FRCP amendments, to prepare your organisation and your legal team to understand these issues, and to take appropriate practical steps to deal with your metadata in the new FRCP-driven legal environment. VIEW SUMMARY

Category: Compliance | Published: 26 June 2013 | Type: White Paper

Rating: + 1

EMIR: illustrative implementation timeline – update

Company: Clifford Chance

Obligations concerning derivatives reforms under the EU regulation on OTC derivatives, central counterparties and trade repositories (European Markets Infrastructure Regulation, 'EMIR') is summarised in this handy illustrative timeline. VIEW SUMMARY

Category: EMIR | Published: 15 May 2013 | Type: White Paper

Rating: + 5

Evaluating the Operational and Market Risks for Complex Energy Portfolios and New Energy Investments Optimisation

Company: Energy Exemplar

Evaluating the Operational and Market Risks for Complex Energy Portfolios and New Energy Investments Optimisation in Europe employing the Power of Hybrid Integrated Modelling. VIEW SUMMARY

Category: Commodities | Published: 21 May 2015 | Type: White Paper

Rating: + 3

2007 - The Impact of MIFID

Company: Touchstone Group

MiFID has been hailed by some analysts as the most fundamental shake up of the European banking sector in a generation. This White Paper provides a key overview of the implications of MIFID. VIEW SUMMARY

Category: MiFiD | Published: 01 January 2007 | Type: White Paper

Rating: + 1

Regime Forecasting using Machine Intelligence

Company: Ayasdi

This white paper looks into why it is important to understand market regimes, and the current approaches firms take in understanding these regimes. It goes further by discussing the different ways in which machine intelligence can provide solutions in creating strategies. VIEW SUMMARY

Category: Market Risk | Published: 02 September 2015 | Type: White Paper

Rating: + 3

The OIS & FVA Relationship: The Evolution of OTC Derivative Funding Dynamics

Company: Numerix LLC

We will begin this paper with a discussion of the basics of OIS discounting and FVA for OTC derivatives—and then explore the relationship between the two concepts. We will also look at a case study that highlights the potential impact of FVA on trade profitability. VIEW SUMMARY

Category: Credit Derivatives | Published: 14 May 2014 | Type: White Paper

Rating: + 4

Regulatory reform – The shape of things to come

Company: BNY Mellon

The Bank of New York Mellon (BNY Mellon) is currently the only financial institution in the US with a triple A rating from Moody’s. With the firm’s representatives actively engaged in industry and public policy forums, as well as advising regulators, its derivatives and risk expertise is exemplary. VIEW SUMMARY

Category: Compliance | Published: 03 February 2011 | Type: Article

Rating: + 2

Display results per page

As a member you receive free access to our constantly updated library of white papers, analyst reports, web casts and legal briefings.

  • Stay informed
  • Compare services
  • Save documents
  • Receive email alerts

As a member you receive free access to our constantly updated library of white papers, analyst reports, web casts and legal briefings.

Categories related to