
Marex Group plc Outlines Future-Focused Clearing Strategy Emphasizing Portfolio-Level Risk Management, Margin Efficiency, and Regulatory Capital Alignment for 2026 and Beyond

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Marex Group plc has announced a future-focused clearing strategy aimed at enhancing portfolio-level risk management and margin efficiency for 2026 and beyond. The strategy includes leveraging infrastructure for real-time risk transparency across various client portfolios, aligning capital requirements with client margins, and prioritizing clearing relationships based on risk profiles. Marex emphasizes its specialization in commodities to support exposure without structural disincentives, adapting to regulatory changes.
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