Webinar

Mastering Malaysia’s New Benchmark Regime

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Life under Malaysia's new benchmark regime requires a series of changes in the curves and prices of various instruments.

Join us as we demonstrate practical examples using Bloomberg valuation and risk analysis tools, and index solutions that help firms master the transition. Our experts will share:

  • Bloomberg infrastructure changes to navigate the transition
  • Transition data available on Bloomberg
  • MYOR transition data and pricing tools
  • How to analyze impact on derivative deals
  • Deriving fair spread adjustment over RFR index when considering re-papering or conversion
  • How the Bloomberg Short-Term Bank Yield (BSBY) index can help manage spread between funding costs and interest earned on loans in the absence of LIBOR
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Speakers

Kevin Lau

Risk Workflow Specialist

BLOOMBERG/ SINGAPORE OFFICE

Kevin Lau started his career in a Treasury Department in 1989 after graduating from the National University of Singapore with a Bachelor’s degree in Civil Engineering. He joined a local bank in Singapore, handling and managing various instruments such as Money Market, Foreign Exchange, and Futures. He spent 13 years as a trader in a number of Treasury Dealing rooms managing structured products and Interest Rate derivatives. He’s been working in Bloomberg for the last 17 years in the capacity of Market Specialist, and currently as a Workflow Specialist. He spends most of his time assisting clients in maximizing the full potential of their Bloomberg systems.

Shrikant Gangal

Regulatory Workflow Specialist

Bloomberg

Shrikant has over 20 years of experience of Financial markets.He started his career with India's largest depository.Prior to Joining Bloomberg he was Fixed Income prop trader with Chicago based trading firm trading USA and EUR yield curve. Shrikant joined Bloomberg in 2008 and currently working as a senior Risk Solution sales Specialist with Bloomberg. Shrikant has completed Masters in Finance from UK and Engineering & MBA from India.

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