Managing LIBOR Transition within RiskManager
The planned discontinuation of LIBOR and other interbank benchmarks is imminent and will affect a large number of existing financial contracts, causing disruption to critical areas within the investment process. MSCI has followed the situation closely and developed the necessary tools to help clients navigate this transition.
During this session, we will focus on how RiskManager users can take advantage of these features to manage the challenges posed by the transition, and discuss best practices with regards to fallbacks and discounting changes.
- Introduction to LIBOR Transition
- How to manage Fallbacks within RiskManager
- Position modelling and discounting changes
Please click here to watch the on-demand recording.
Dec 7 2021
10:00 a.m. EDT
3:00 p.m. GMT
Scroll the table to the right to see more