Out of the shadows
Central clearing of repo, a transparent market structure for cash borrowers and lenders
Jeff Penney
·McKinsey & Company, June 2011
·24 pages
Download the paper
No registration. Free to circulate inside your institution.
Risk management often falls short when revenue targets or client relationships are at stake, and losses tend to increase while responses are debated.
Related by subject
Collateral Management: Best practices for broker-dealers
2011
8 pp
McKinsey & Company
Financing Risks Revisited: A fresh look at best practices for securities finance and delta-one derivatives
2023
19 pp
Panoramix Partners
Beyond the Hype: Blockchains in capital markets
2015
32 pp
McKinsey & Company
The Future of Prime Brokerage: Applying the lessons of the financial crisis
2011
22 pp
McKinsey & Company