IBORs transition: assessing the challenges for hedge fund managers


Across the financial markets, firms are preparing for the transition away from LIBOR on the expectation that it will cease to exist – or change very substantially – soon after the end of 2021.

On this call, Clifford Chance partners Owen Lysak and Will Winterton will discuss the implications of this for hedge fund managers, including the impact on portfolios and investments (such as loans, bonds, securitisations and derivatives) that reference LIBOR, what managers can expect to see from the sell-side and what they should be should be doing now to prepare for the challenges ahead.

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IBORs transition assessing the challenges for hedge fund managers slides.pdf


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