Over the past few years, trading firms have had to deal with unprecedented volatility. As this becomes the norm, rather than the exception, Baringa and OpenGamma explore how trading firms can reorganise themselves to better manage margining risk in this new environment. 

Download and read the whitepaper below to learn about the 4 fundamental changes trading firms need to embrace. To learn more, please contact Andrey Shutov.

How to manage margining risk in a highly volatile environment

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