Collateral Management and Segregation

Powerful change is sweeping the financial markets. New regulatory demands for collateral requirements and segregation are pushing the need for aggregation and optimization to the forefront.

Be Inspired and Change the Way You View Collateral

Balance sheet management, liquidity and more effective financing are emerging as key challenges, alongside risk and cost efficiencies. Reimagine the way you manage your collateral and address new margin requirements. In an environment where efficiency and risk mitigation are paramount, our collateral management products, solutions and tools can help you optimize your assets, manage counterparty risk and streamline your operational efficiency. Come explore our Collateral UniverseSM and discover our growing range of collateral management, collateral segregation and financing capabilities. We power the investments of your peers and counterparties. What can we do for you?

Collateral Management and Segregation Disclaimer


Our Thinking

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A Collateral Treasury Function for the Buy Side

Staffan Ahlner of BNY Mellon Markets pinpoints the challenges, risks and rewards that await the buy side as it ventures into new territory.

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Money Market Funds as Collateral

At a recent webinar, BNY Mellon and experts from the asset management industry discussed the drivers, mechanics and challenges of using money market funds as collateral.

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Collateral Solutions for a Changing Market

Regulation and changing market dynamics have moved collateral into the spotlight and have had a profound effect on how market participants pursue their trading and investment strategies. In this third paper in our collateral management series, we explore a range of innovative solutions available from BNY Mellon that can help financial institutions and institutional investors meet today’s collateral challenges.

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Collateral Management: Navigating the Regulatory Maze

We (The Field Effect and BNY Mellon) will consider the current and future collateral impacts and consequences – both direct and indirect, concentrating on market behaviour. The importance of understanding the ‘consequences of change’ is a key theme which runs throughout this Paper. 

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Collateral Management and Segregation in Motion

Regulation and market changes have increased the demands on collateral sourcing, funding and mobility. Over the past two decades, collateral management has evolved within the buyside and sell-side communities, helping them find the most effective use of available assets to post as collateral.

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Peer to Peer Tri-Party

Collateral is the currency of the capital markets and flows through more transactions than ever before. The buy side is looking at a new horizon, where new thinking, approaches and strategies are key to a successful future, says Staffan Ahlner of BNY Mellon.

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Being Dominick Falco

Tasked with finding segregation and collateral solutions that are economically viable while meeting new regulations across multiple regions - all without the final rules set in stone – what does Dominick Falco, BNY Mellon’s new global head of segregation product, have planned?

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Collateral Management: A Review of Market Issues

We (The Field Effect and BNY Mellon) believe the series to be essential reading for asset managers, pension funds, insurance companies, banks and broker-dealers, as it will translate complex regulatory and market structure changes into straightforward operational imperatives.

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The Evolution of Collateral Segregation

Watch our latest video to see how collateral segregation has evolved after the 2008 financial crisis and to learn how BNY Mellon’s suite of collateral segregation tools, technology and solutions can help you navigate the regulatory reforms.

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How to Build a Collateral Segregation Solution

Global regulatory reform is reshaping and redefining the way institutions are required to post margin, manage collateral and segregate assets. Are you ready?

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Explore BNY Mellon's Collateral Universe

Discover within our Collateral Universe an expansive and growing range of solutions designed to help you source and mobilise eligible collateral to meet margin requirements and other obligations.

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