Explore the complexities and risks associated with the clearing and settlement processes in securities transactions, including operational, credit, and liquidity risks, and the regulatory measures in place to mitigate these risks.
Explore emerging risks in the financial system and proactive strategies to prevent future crises, emphasizing the role of technology, innovation, and continuous regulatory evolution.
Explore comprehensive strategies and instruments for hedging financial risks, including interest rate, currency, and commodity risks, and understand the benefits and limitations of these risk management techniques.