BoE’s CCP exam makes stress testing more than a tick box exercise

By Joseph Cordahi, product strategy director at financial tech firm NeoXam

Time for FX swaps to grace the markets medal podium

By Phil Hermon, Executive Director, FX Products, CME Group

ESTR wars: Attack of the clones part 2

By Dr Elliot Banks, chief product officer, BMLL

The year of the election – unpredictable events need vigilance at banks

By Alex Knight, Head of EMEA, Baton Systems

ESTR futures expect ECB to cut rates on par with Fed

By Erik Norland, chief economist and managing director, CME Group

FIA Cyber Taskforce: Concrete plan of action or regurgitated recommendations?

By Reece Chapman, marketing manager at Kynetix

Driving new banking revenue streams through generative AI

By Andy Schmidt, Global Banking Lead at CGI

Effective risk management should not be at the expense of trading profits

By Stanislav Ermilov, founder and CEO, Tallarium

Spectrum Markets CEO Maan reflects on 2023 and prospects for 2024

By Nicky Maan, Spectrum Markets’ chief executive officer

The unaddressed margin crisis facing commodity derivatives trading institutions

By Jo Burnham, Risk and Margin Expert, OpenGamma

€STR Wars: Attack of the Clones

By Dr Elliot Banks, Chief Product Officer, BMLL

New Year’s resolutions: get OTC derivatives reporting fit for EMIR Refit 

By Thomas Steimann, Head of Regis-TR, SIX

Using AI to inform next-generation trading strategies

By Benoit Bellone, Head of Research and Senior Research Data Scientist, QuantCube Technology

Bullet proofing against spoofing – why banks need an extra layer of protection

By Oliver Blower, CEO of VoxSmart

CFTC ReWrite marks its first anniversary

December 5 is one year since the rewritten US swap data reporting rules took effect but there is much work still to do, writes Alan McIntyre, the North American Reporting Director at Kaizen

New ideas for the new normal – how liquidity providers are navigating EU markets

With the current geo-political pressure, rising inflation, a global rate pivot and spikes in energy prices, norms on how secondary markets can successfully operate are being questioned. As the liability driven investing (LDI) crisis threatens to extend beyond UK borders, the rush to cover collateral margin by many large pension funds is putting liquidity in focus once more.

Reflections of 2020… A year like no other

By Andrew Dyson, CEO of the International Securities Lending Association

The lifeblood of finance on the cusp of change

By Samir Pandiri, president of Broadridge International and board member at International Securities Services Association

Trade automation has moved beyond the OMS/EMS debate

By Lars Wiberg, VP Head of Product Strategy for Itiviti Group

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