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2nd Annual Derivatives Trading in the Era of Dodd-Frank's Title VII - September 16, 2013 - New York, NY
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LAST UPDATED: Monday, May 20 2013
  Preliminary Agenda Topics

Preliminary Agenda Topics Include:

  • The Global Impact of Mandatory Clearing
  • The Regulatory Horizon: CFTC Reauthorization; Changes to Dodd-Frank; and Predicting the Unknowable
  • The Futurization of Swaps: Unintended Consequence of Dodd-Frank?
  • Cross-Border & International Regulatory Landscape: EMIR, Basel III and Defining a US Person
  • Cross-Border Guidance vs. Global Harmonization Among G-20 Regulators
  • "Swap Dealer: To Be or Not to Be?": Case Studies of Market Participants Approaching Regulatory Burdens and Uncertainty
  • Margin Treatment: Swaps vs. Futures
  • Update on Proposed Position Limits Rules
  • Customer Asset Protection Rules: Differences between Futures, Cleared Swaps and Uncleared Swaps
  • Compliance Officer Roundtable: Implementation "Pain Points" and Future Challenges
  • Reporting & Record-Keeping Requirements: Real-time Reporting, Voice Recording & Cross-Border Reporting
  • Energy Issues

To suggest additional topics, or if you are interested in a speaking role at the conference, please contact Tim Bailey at tbailey@imn.org.



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