Mastering The Isda Master Agreements Ebook

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BOOK EXCERPT:

Published by the International Swaps and Derivatives Association, the 1992 and 2002 ISDA® Master Agreements are the main contracts used in the over the counter global derivatives market. Mastering the ISDA Master Agreements provides a practical, clear and useful guide to help understand and negotiate these Master Agreements. This revised and updated edition is an essential handbook for anyone involved in negotiating agreements, from financial institutions through to fund managers, law firms, credit officers, regulators and business students. The new edition includes: Increased focus on the 200.

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Genre : Business & Economics
Author : Paul Harding
Publisher : Pearson UK
Release : 2011-01-10
File : 818 Pages
ISBN-13 : 9780273725725


Mastering The Isda Master Agreement

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BOOK EXCERPT:

The ISDA Master Agreement is the main agreement used in the over-the-counter global derivatives market. It is a complex document, and this book provides a practical, clear and useful foundation for the fledgling negotiator.

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Genre : Derivative securities
Author : Paul Harding
Publisher : FT Press
Release : 2002
File : 0 Pages
ISBN-13 : 0273654306


Mastering The Isda Master Agreements 1992 And 2002

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BOOK EXCERPT:

This book has already been accepted by the market as the first choice, one (and maybe only) stop shop for new entrants and old hands to the field of ISDA Master Agreement negotiation. The new edition will keep you up-to-date with the most radical changes in this sector for over a decade.

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Genre : Business & Economics
Author : Paul C. Harding
Publisher : Pearson Education
Release : 2004
File : 778 Pages
ISBN-13 : 027366395X


Legal Data For Banking

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A practical, informative guide to banks’ major weakness Legal Data for Banking defines the legal data domain in the context of financial institutions, and describes how banks can leverage these assets to optimise business lines and effectively manage risk. Legal data is at the heart of post-2009 regulatory reform, and practitioners need to deepen their grasp of legal data management in order to remain compliant with new rules focusing on transparency in trade and risk reporting. This book provides essential information for IT, project management and data governance leaders, with detailed discussion of current and best practices. Many banks are experiencing recurrent pain points related to legal data management issues, so clear explanations of the required processes, systems and strategic governance provide immediately-relevant relief. The recent financial crisis following the collapse of major banks had roots in poor risk data management, and the regulators’ unawareness of accumulated systemic risk stemming from contractual obligations between firms. To avoid repeating history, today’s banks must be proactive in legal data management; this book provides the critical knowledge practitioners need to put the necessary systems and practices in place. Learn how current legal data management practices are hurting banks Understand the systems, structures and strategies required to manage risk and optimise business lines Delve into the regulations surrounding risk aggregation, netting, collateral enforceability and more Gain practical insight on legal data technology, systems and migration The legal contracts between firms contain significant obligations that underpin the financial markets; failing to recognise these terms as valuable data assets means increased risk exposure and untapped business lines. Legal Data for Banking provides critical information for the banking industry, with actionable guidance for implementation.

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Genre : Business & Economics
Author : Akber Datoo
Publisher : John Wiley & Sons
Release : 2019-04-26
File : 364 Pages
ISBN-13 : 9781119357223


Foreign Exchange Operations

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BOOK EXCERPT:

The ultimate nuts-and-bolts guide to foreign exchange operations The foreign exchange landscape is particularly risky since so much of the world is unregulated and takes place over the counter (off exchange). Brilliant traders and money managers who are profitable may find themselves underperforming, or worse, losing, simply because they failed to establish strong operations. In this book, David DeRosa provides industry players with everything they need for strong operational functions from all the types of trades to execution, master trading agreements, documentation, settlement, margin and collateral, and prime brokerage services. Contains vital work flow solutions for trading in the volatile foreign exchange marketplace Offers information for mastering the operational aspect of foreign exchange trading to help determine best partners such as prime brokers and others Written by David DeRosa a leading foreign exchange expert who has consulted to hundreds of financial institutions Foreign Exchange Operations helps traders mitigate risks and offers a guide to all aspects of trading operations from mastering trading agreements to margin documentation.

Product Details :

Genre : Business & Economics
Author : David F. DeRosa
Publisher : John Wiley & Sons
Release : 2013-10-07
File : 416 Pages
ISBN-13 : 9781118415559


The Negotiation Of Otc Derivatives Documentation

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BOOK EXCERPT:

This book takes the ISDA Master Agreement (including the Credit Support Annex) as the benchmark for any OTC Derivatives documentation negotiation and explains the relevant "DOs and DON'Ts" when it comes to the most commonly negotiated terms, providing sufficient background to help the reader make an informed decision in relation to important elections. Particular focus is on a number of areas that include but are not limited to: the ISDA modular structure: 1992 and 2002 versions, the ISDA Credit Support Annex (Title Transfer - English Law and Pledge - New York and Japanese Law), practical insights about negotiating the ISDA and CSA, the ISDA protocols and other documentation initiatives linked to EMIR and Dodd-Frank, OTC Clearing, FATCA, Asia-Pacific Regulatory overview, Give-up trading models and documentation. There is no pretention to provide the basis for the perfect negotiation strategy or approach, but there are enough negotiation tips, sample provisions and case law references to help the readers understand what is important, permissible and sensible so as to drive the negotiation effectively. The sample provisions and documentation presented in this book are for reference only and serve the sole purpose of explaining the inherent impact and significance of the underlying topics, risks and issues calling for the inclusion of certain terms. By no means this book should be read or seen as a collection of provisions or templates for general use.

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Genre : Business & Economics
Author : Andrea Geat
Publisher : Lulu.com
Release : 2016-01-08
File : 250 Pages
ISBN-13 : 9789881384508


Recovery Risk In Credit Default Swap Premia

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Timo Schläfer exploits the fact that differently-ranking debt instruments of the same issuer face identical default risk but different default-conditional recovery rates. He shows that this allows isolating recovery risk without any of the rigid assumptions employed by priors and implements his approach using credit default swap data.

Product Details :

Genre : Business & Economics
Author : Timo Schläfer
Publisher : Springer Science & Business Media
Release : 2011-05-18
File : 124 Pages
ISBN-13 : 9783834966667


European Banking And Financial Law 2e

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BOOK EXCERPT:

Over the last few decades, banks, insurers, pension funds, investments firms and other financial institutions have become subject to sometimes dramatically new, but always substantially more, legislation. This is especially true for the EU. Moreover, Brexit has already caused profound changes to the dynamics of EU financial regulation, and its effects will likely become ever-more significant in the years to come. This book serves as a comprehensive introduction to these developments, and, more generally, to European banking and financial law. It is organised around the three economic themes that are central to the financial industry: (i) financial markets, (ii) banking and financial institutions and (iii) financial transactions. It covers not only regulatory law but also commercial law that is relevant for the most important financial transactions. This Second Edition has been completely revised. The basic structure of the First Edition has been maintained, but all chapters have been thoroughly rewritten and restructured. Attention is now also given to topics such as shadow banking and credit rating agencies. As a matter of course, all new relevant legislation and case law has been included. In addition, on the basis of real-life classroom experience, student questions and further reading suggestions have been updated and expanded.

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Genre : Business & Economics
Author : Matthias Haentjens
Publisher : Routledge
Release : 2020-06-02
File : 325 Pages
ISBN-13 : 9781351701792


Understanding Risk

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BOOK EXCERPT:

Sound risk management often involves a combination of both mathematical and practical aspects. Taking this into account, Understanding Risk: The Theory and Practice of Financial Risk Management explains how to understand financial risk and how the severity and frequency of losses can be controlled. It combines a quantitative approach with a

Product Details :

Genre : Business & Economics
Author : David Murphy
Publisher : CRC Press
Release : 2008-04-23
File : 472 Pages
ISBN-13 : 9781584888949


Otc Derivatives Bilateral Trading And Central Clearing

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BOOK EXCERPT:

After the credit crisis, supervisors enacted a range of financial reforms. In particular, they radically changed the nature of the OTC derivatives market via a number of measures, notably mandatory central clearing. This book discusses the market before the crisis, explains what central clearing is, and outlines the consequences of the new rules.

Product Details :

Genre : Business & Economics
Author : David Murphy
Publisher : Springer
Release : 2013-08-07
File : 315 Pages
ISBN-13 : 9781137293862