Paulina Pielichata
Paulina Pielichata is deputy editor, risk management at Risk.net, based in London. Before joining Risk.net she was senior reporter at Pensions & Investments, covering asset management, institutional investing and regulation in the UK and Europe. Before P&I, she worked at Euromoney Institutional Investor, where she covered asset management, securities finance and asset servicing for Global Investor/ISF and base metals for Metal Bulletin. She holds an undergraduate degree in journalism and history from Queen Mary University of London and a postgraduate degree in European Studies from University of Westminster.
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Articles by Paulina Pielichata
EU firms fear dollar liquidity becoming tariff bargaining chip
Eurozone banks rely on dollars for 17% of funding; trade war escalation could affect access
Regulators urged to back non-cash variation margin
Market participants warn FSB on cash collateral demand as banks curb collateral upgrade trades
Industry urges focus on initial margin instead of intraday VM
CPMI-Iosco says scheduled variation margin is better than ad hoc calls by clearing houses
European funds face upsurge in settlement risk after T+1
Trade body Efama finds up to 40% of daily FX flows may have to settle outside protection of CLS