Journalist, Risk management
Costas Mourselas is a senior staff writer on the risk management desk at Risk.net. He previously reported on derivatives at GlobalCapital.
Costas has a bachelor’s degree in philosophy, politics and economics from the University of York, UK.
CCP will run segregated default fund; does not rule out following up with ether-based contracts
Lawyers say western banks face illegality terminations; industry groups plan deliverable ruble workaround
Deborah Hrvatin discusses integrated risk management, mega-hacks and model risk
FCMs fear “race to the bottom” as funds lobby dealers for lower margin status
OCC rejects suggestion banks can net certain cleared client exposures; Fed stays silent
Dealers concerned new regime will punish some business lines with rise in risk-weighted assets
An effort by US regulators to incentivise the switch to SA-CCR may be having the opposite effect
Clearing service will target dealer-to-dealer trades before later rolling out to clients
Clearing house eyes June release; dealers voice concerns over liquidity and margining