Italian investment funds acquired €24 billion ($25.2 billion) of debt securities in September – a monthly increase of 14.4% – ...
Welcome to the latest round of Op Risk Benchmarking for domestic and regional banks. This is the second edition to focus on ...
Formerly Fenics FX, the venue has seen growth from dealers and non-banks using its pegged order types and dark pool liquidity ...
Over the past 20 years, financial markets have evolved from manual processes to streamlined, technology-driven workflows.
CME is planning to launch single-stock futures, with an initial focus on ‘Magnificent 7’ tech names including Amazon, Nvidia ...
New rates head Laura Chepucavage prioritises collateral efficiency, e-trading and central risk book for enlarged rates, ...
The US Commodity Futures Trading Commision is weighing new rules to bolster cyber security resilience and third-party risk management at central clearing counterparties (CCPs). The rules were ...
A senior risk manager at Millennium Management has defended the use of leverage in the US Treasury basis trade, which has come under intense regulatory scrutiny in recent years.
The US Federal Reserve has been stress-testing its discount window to ensure it could provide liquidity to large numbers of ...
The National Securities Clearing Corporation reported a simulated liquidity shortfall of $4 billion in the third quarter, ...
The world’s largest asset manager is planning to launch a managed futures exchange-traded fund (ETF), a step that peers say will open the strategy to a pool of hundreds of billions of dollars of ...
Banks are reporting growing scrutiny of their operational resilience frameworks as a number of regulatory deadlines loom. In ...