What are the best practices for collateral management in the repo market?
Collateral management is a crucial process in the repo market, where securities are exchanged for cash with an agreement to repurchase them at a later date. Collateral management involves selecting, valuing, and monitoring the securities that serve as collateral, as well as managing the risks and costs associated with them. In this article, you will learn about the best practices for collateral management in the repo market, such as: