Fixed Income Future Leaders USA 2017

May 16 - 18, 2017

Westin Copley Place - Boston

+44 (0)207 368 9330

 Jarred Sherman
Jarred Sherman Portfolio Manager JP Morgan Asset Management

Jarred A. Sherman, managing director, is a portfolio manager for the Absolute Return and Opportunistic Fixed Income Team at J.P. Morgan Asset Management. Prior to taking on this role, Jarred was a lead portfolio manager responsible for the strategy development and management of the enhanced cash and short duration portfolios within the U.S Fixed Income Group. An employee since 1999, Jarred has also served as an investment analyst within the Short Term Fixed Income Product Group. Jarred holds a B.A. in economics from the University of Pennsylvania and an M.B.A. from Columbia University. He is also a CFA charterholder.



Day 1- Wednesday May 17th 2017

2:40 PM 360 Perspective: How do the buy side and sell side need to re-think their business models to succeed in the new derivatives landscape?

  • How was the transition to the non-cleared margin rules and how have the buy side adapted to the early changes in regulation?
  • How are the buy side measuring and posting initial margin and efficiently coping with the new requirements and what impact has this had on the products they trade? 
  • What products are going to be more prevalent in the new environment and what will move towards an exchange traded model?
  • How are all market participants ensuring the rules can be effective and minimise unintended consequences?