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Eurex Repo | Eurex Clearing
Our freshly printed repo report, "Navigating uncertainty: geopolitics and market dynamics," summarizes 2024's key developments, including challenges and successes, figures, and trends. It also explores why 2024 represented a significant shift in the repo market and the factors likely to influence 2025.
Discover why 2024 marked a pivotal change in the repo market dynamics, transitioning from a scenario where cash chased collateral to one where collateral chased cash. Gain insight into the evolution of the European repo market, with a particular focus on Eurex repo trading and clearing, innovations and strategic enhancements in 2024, and the outlook for 2025.
Understand how central bank policies and quantitative tightening led to reduced liquidity and tighter financial conditions, the increased participation of buy-side institutions in the Eurex Repo market, including pension funds, insurers and corporates, and how innovations like the GC Pooling Green Bond Basket improved market efficiency by promoting sustainable financing.
Access the full report here: