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Impact of Brexit on Debt Capital Markets: Derivatives

22 July 2016

Following our webinar looking at the potential impact of Brexit on Financial Institutions, we are delighted to now bring you a series of webinars focussing specifically on Debt Capital Markets. The second of these webinars was focused on the Derivatives transactions, and included these topics:

Following our webinar looking at the potential impact of Brexit on Financial Institutions, we are delighted to now bring you a series of webinars focussing specifically on Debt Capital Markets. The second of these webinars was focused on the Derivatives transactions.

Topics will include:

Standard ISDA documentation

EMIR: clearing and margining requirements

MiFID II: trade execution and transaction reporting requirements

Bank resolution and other insolvency related implications

Taking collateral
Contractual choice of law and jurisdiction

 

The other webinars in this series were:

Impact of Brexit on Debt Capital Markets: Capital Markets Union

Impact of Brexit on Debt Capital Markets: Securitization

Click here to access a recording of the webinar, and here to view the slides.

Speaker list

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