Collateral management will be a crucial activity in the financial industry. We introduce a framework to analyse the supply and the demand of collateral internally originated by the banking activity, the tools to manage both and the targets that should be aimed at.
CITATION STYLE
Shaik, K. (2014). Collateral Management. In Managing Derivatives Contracts (pp. 251–274). Apress. https://doi.org/10.1007/978-1-4302-6275-6_11
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