Lombard Risk launches buy-side collateral management tool

As asset managers and investment firms prepare for uncleared margin rules due in March 2017

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Cost pressure: buy-side players will feel the effect of a collateral squeeze

Regulatory reporting and collateral management solutions provider Lombard Risk has launched a cloud-based solution, aimed at simplifying collateral management for buy-side market participants to help them prepare to meet the stricter uncleared margin requirements expected to be phased in from March 2017 in Europe.

The new offering, dubbed AgileCollateral, offers the same functionality as the company's Colline product in a light-touch, modular delivery format. It is targeted at asset managers

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