Collateral Optimization Strategy with BJ Marcoullier
“How you deploy and utilize collateral across those collective trading centers within equity finance can have significant added benefits – or frictions if you’re not doing it right – depending on how you’re thinking about your technology strategy.”
– BJ Marcoullier, Transcend
In a recent interview with Finadium, BJ Marcoullier explores why firms need to rethink their approach to collateral optimization. Rather than viewing it as purely an operational function, he discusses how a modern “sources and uses” framework enables firms to make real-time decisions that optimize capital, liquidity, and risk-adjusted returns.
Watch the full conversation below to learn how leading equity finance desks are approaching collateral optimization in today’s evolving market.
