Methods to Collateral Management

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Patrick Centanni, executive vice president and head of global product management, State Street

The measure of collateral in circulation, which represents the total amount of collateral dedicated to mitigating credit risk in over-the-counter (OTC) derivatives, dropped during 2009, but that figure appears to have rebounded last year and is likely to continue to rise going forward. In an uncertain regulatory environment, buy-side and sell-side firms are trying to figure out more effective ways to use collateral management to better manage risk. Also, firms are providing more support to their

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