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Treasury Strategies’ Quarterly Corporate Cash Briefing™ – October 2014

This has been a monumental quarter for corporate cash in terms of money market fund regulation, Basel III, monetary policy, negative interest rates, currency volatility and more.

Tune in for Treasury Strategies’ Quarterly Corporate Cash Briefing on Thursday, October 9 to hear more about what this all means for you.  In particular, we will examine how the new regulations will impact your investment policies.

You’ll also hear insights from our expert panel including Federated Investors and Fitch Ratings who will shed more light to help participants understand the implications for our industry for total corporate cash holdings in the US, UK & Eurozone.

Sponsors & Panel Participants
• Deborah A. Cunningham, CFA, Chief Investment Officer – Federated Investors
• Ian Rasmussen, Senior Director – Fitch Ratings

Treasury Strategies’ Speakers & Panel Moderators
• Anthony Carfang, Partner
• Edmonia Lindsey, Managing Director

Click here to download the presentation.

Click here to access the recording.

Click here to download the Q&A responses.

For more information

+1-312-628-6923