Collateral Management Systems

Software applications focused on the mitigation of credit risk with counterparts through regular collateralization.

Broadridge collateral management offers a real-time, enterprise-wide collateral management and optimisation solution for cleared/bilateral OTC and exchange traded derivatives, securities lending and repo. With front-to-back office support for buy-side and sell-side, the solution improves collateral efficiency and supports regulatory change.
The Broadridge Collateral Optimisation solution provides sophisticated tools for collateral trading and optimisation. The solution enables you to optimise collateral usage on a firm-wide basis across securities lending, repo, bilateral OTC derivatives, and exchange-traded derivatives business lines.
Company: Calypso
Calypso is the global standard in OTC clearing for CCPs, exchanges, clearing members and end-users. 86% of CCPs who are live and clearing interest rate swaps use Calypso, including CME, Eurex, SGX, TSE, HKEx and ASX. Calypso OTC Clearing enables institutions to comply with Dodd-Frank and EMIR regulation and create a robust OTC clearing capability.   Calypso provides a comprehensive ...
Company: Calypso
Calypso Collateral & Funding enables institutions to unlock collateral and unleash liquidity. Improved visibility into positions combined with the ability to net exposures across business lines enables institutions to eliminate fragmented collateral pools, increase ROI on inventory and lower funding costs. Calypso has a single central inventory pool for all margining, funding, liquidity and ...
Company: Murex
MX.3 for Enterprise Risk Management (ERM) is designed to help financial institutions optimize their risk infrastructures and reduce the cost of compliance. The cross-asset, cross-function platform provides a new model for risk and collateral management, enabling institutions to control and monitor risk at every step of the value chain. It can be used as an integrated trading and risk solution, or ...
Company: Murex
MX.3 for Collateral Management is designed to simplify this method by centralizing collateral across functions and business lines for bilateral or cleared OTC, repo or securities lending, and exchange-traded derivatives products. This includes the calculation of CCP margins and bilateral BCBS/IOSCO WGMR margin rules, as well as firms’ own risk methodologies. Our exception-based workflow ...
Company: SimCorp
SimCorp provides integrated, best-in-class investment management solutions to the world’s leading asset managers, fund managers, asset servicers, pension and insurance funds, wealth managers and ...