SOFR and SONIA Futures Gain Steam
Eric Juzenas, director of global regulatory and compliance policy, discusses SOFR based loans and term pro...
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Swaps users wary of hedge accounting hit from Brexit transfer
CFTC Proposes Relaxed Swap Rules
Accessing the Offshore Market and Important Hedging Considerations
Chatham Financial in Australia look at some of the hedging and ongoing accounting issues arising for a typical corporate borrower when accessing offshore capital markets.
Brexit No Deal Could be Big Deal for Swaps
Eric Juzenas, director of global compliance and regulation at Chatham Financial, explains the potential effects on both the US and the UK on the impact of a no-deal Brexit.
SOFR Transition to Impact Real Estate Market Broadly
Evan Marble, a member of Chatham Financial’s hedge advisory team, was a guest on Nareit’s REIT Report podcast. Marble discussed the planned transition away from the LIBOR in favor of SOFR.
Caution: Potential Inverted Yield Curve Ahead
Robert Mangrelli, director of global real estate hedging and capital markets, discusses how the flat yield curve can be a leading indicator of a recession.
Chatham Financial Wins Award At Barclay's DerivHack 2018
Chatham Financial announced that its technology team earned the Best Solution Architecture Award at Barclay's DerivHack 2018 in New York.
Applying a Holistic Approach to Commodity Hedging
Bryant Lee, a director on Chatham Financial’s risk-management team, explains holistic hedging amid jump in commodity prices.
Why the LIBOR Transition is a Marathon, Not a Sprint
Eric Juzenas examines why speeding up the transition away from LIBOR is easier said than done. If LIBOR goes away entirely, there are still questions of which ARR will be the one to truly replace it.
The Obstacle-Strewn Path to Replacing LIBOR
Robert Mangrelli discusses key indications that the SOFR rate is being adopted by the market.
Transition to LIBOR Alternatives: The Regulators Are Serious
With the transition to LIBOR alternatives, regulators are keen to encourage market participants to transition to RFR alternatives such as SOFR or SONIA, but what does this mean for end users?
Regulators Underscore Urgency of LIBOR Transition
Robert Mangrelli discusses risk of LIBOR no longer existing, banks limiting issuance of debt or derivatives based on LIBOR & pushing market participants to find ways to value and hedge SOFR products.
SOFR and SONIA Futures Gain Steam
Eric Juzenas, director of global regulatory and compliance policy, discusses SOFR based loans and term products, along with risks arising from offering those products.
WSJ: Global Regulators Push for Faster Transition Away From Libor
Chatham's Robert Mangrelli discusses market infrastructure and liquidity for SOFR products with The Wall Street Journal.
Dealers slam ‘nonsensical’ treatment of forex derivatives
That the CFTC hasn’t acted on window forwards before could be testament to some uncertainty about the window timeframe, says Eric Juzenas, a director in the global regulatory solutions business at Cha
Rising U.S. hedging costs decrease Asian real estate investment
With two more U.S. interest rate hikes planned for 2018, and rates in Japan and South Korea expected to remain static, hedging costs will likely increase further.
Some TMS Providers Not Living Up to Expectations
Chatham's Joe Siu discusses the ChathamDirect end-to-end solution as an alternative for treasury teams underserved by their TMS platform.
Libor to SOFR Switch Will Be Challenging
Eric Juzenas, director of global regulatory and compliance policy, discusses the benefits of transitioning away from LIBOR, the possible complications of switching to SOFR and if additional risk manag
What's lost in transition from LIBOR to new benchmark
International Swaps and Derivatives Association is developing a methodology that would essentially add a credit-risk spread premium to a SOFR-derived rate.
FX Risk: Break the Cycle of “Just Keeping Up”