Qwoted is a free expert network: we help reporters connect with experts & we help those same experts build relationships with top reporters.
Event Date |
Tue Mar 15 UTC (almost 3 years ago)
In your timezone (EST): Mon Mar 14 8:00pm - Mon Mar 14 8:00pm |
Location | Virtual Event |
Region | All |
Join the Financial Reporting and Analysis interest group as we invite leaders from across the industry to share their expertise during the ongoing LIBOR transition period. In a moderated discussion format, panelists will address implications for capital markets and asset management, share their observations on the current process, and envision actionable strategies for firms to navigate complex legal, methodological, and regulatory considerations in 2022 and beyond.
Although LIBOR has played a pivotal benchmarking role in global financial markets for 36 years, this role is in its final stages of winding down. During this transition period, millions of contracts worth hundreds of trillions of dollars have been retooled; in less than 18 months, the once-dominant reference rate will be phased out entirely.
Capital markets, consumer loans, and a wide variety of investment products will be affected by this transition. Don’t miss out on this timely session addressing an industry paradigm shift.
2022 Speakers
Ethan Heisler
CFA, Senior Director, KBRA
Caleb Bigham
CFA, MBA, SVP – Treasurer, BOK Financial
John Coleman
SVP/SMD Fixed Income, R.J. O’Brien
Will Goldthwait
Strategist, State Street Global Advisors
Gavin Lee
CEO, CME Group Benchmark Administration Limited
James Lovely
Principal Consultant, FPExpert.com