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LDA Technologies Device Targets Data & Record-Keeping Woes

April 9, 2025 by Eugene Grygo

LDA Technologies Device Targets Data & Record-Keeping Woes

LDA Technologies, a developer of advanced ultra-low latency integrated circuits and network solutions for capital markets, has launched NeoTap X, a high-performance hardware solution that can be applied to trade monitoring, compliance reporting, advanced analytics, and optimizing network performance, officials say. The timestamping and tap aggregation features of NeoTap X are intended to help firms… Read More >>

Filed Under: Securities Operations, Data Management, Operational Risk, Ops Automation, Integration, Standards, Regulation & Compliance, Regulatory Enforcement, Regulatory Reporting Tagged With: automation, compliance, Field-Programmable Gate Arrays (FPGAs), Financial Industry Regulatory Authority (FINRA), FINRA, MiFID II, regulatory reporting, Standards

Trump’s SEC May Be Less Aggressive On Fines

December 11, 2024 by Eugene Grygo

Trump’s SEC May Be Less Aggressive On Fines

(The Trump team is moving fast to get its cabinet nominees in order, and Paul Atkins, a former SEC commissioner under President George W. Bush, has been tapped to head the SEC. If Atkins wins the approval of the U.S. Senate, he will succeed Gary Gensler, who steps down on Inauguration Day. FTF News asked… Read More >>

Filed Under: Securities Operations, Back Office, Buy-Side, Operational Risk, Sell-Side, Opinion, Q&As, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: Digital Assets, fines, FINRA, regulatory reporting, SEC, SEC Chairman, Securities Operations, US Securities and Exchange Commission, wall street

Direxion Taps SS&C for ETF & Mutual Fund Distribution

September 19, 2024 by FTF News

Direxion Taps SS&C for ETF & Mutual Fund Distribution

A provider of tradeable and thematic ETFs, Direxion will be using the services of SS&C ALPS Distributors, which will act as the underwriter and distributor for issuance, redemption and distribution of exchange-traded funds (ETFs) and mutual funds, officials say. SS&C ALPS, which is owned by SS&C Technologies, will help Direxion manage more than $40 billion… Read More >>

Filed Under: Securities Operations, Back Office, Buy-Side, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Outsourcing Tagged With: automation, back office, data management, Exchange Traded Fund (ETF), FINRA, mutual funds, Securities Operations, SS&C, Standards, wall street

SS&C Acquires Battea Class Action Services for $670M

September 13, 2024 by FTF News

SS&C Acquires Battea Class Action Services for $670M

SS&C Technologies is acquiring Battea-Class Action Services, a securities class action claims management and settlement recovery services provider for $670 million, subject to certain adjustments, officials say. “Battea helps more than 900 banks, asset managers hedge funds and proprietary trading firms receive the maximum distribution of entitled settlements. The acquisition is expected to close this… Read More >>

Filed Under: Securities Operations, Back Office, Buy-Side, Data Management, Mergers & Acquisitions, Operational Risk, Regulation & Compliance, Industry News, People Moves Tagged With: back office, CFTC, FINRA, SEC, securities class action claims management, Securities Operations, Standards, wall street

Chatbots Are On FINRA’s Compliance Radar

June 13, 2024 by Eugene Grygo

Chatbots Are On FINRA’s Compliance Radar

(Applications and systems that use artificial intelligence (A.I.) technologies such as chatbots are on the radar of the Financial Industry Regulatory Authority (FINRA), the self-regulatory organization for U.S. broker-dealers. The regulator has issued guidances, updates, and alerts about the subject noting the “benefits for investors include enhanced access to customized products and services, lower costs,… Read More >>

Filed Under: Securities Operations, Back Office, Data Management, Operational Risk, Ops Automation, Risk Management, Artificial Intelligence, FinTech Trends, Opinion, Q&As, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting Tagged With: AI technology, automation, chatbots, compliance, FINRA, operational risk, SEC, Securities Operations

T+1 is Stealing the Spotlight from Securities Lending

May 16, 2024 by Eugene Grygo

T+1 is Stealing the Spotlight from Securities Lending

(Editor’s note: This past October, the Securities and Exchange Commission adopted Rule 10c-1a in an effort to increase the “transparency and efficiency of the securities lending market,” according to the SEC. The new rule required the reporting of “specified information about securities loans to a registered national securities association (RNSA)” by 2026. The new rule… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Clearing, Data Management, Hedge Fund Operations, Middle-Office, Operational Risk, Ops Automation, Outsourcing, Reconciliation & Exceptions, Risk Management, Sell-Side, Settlement, T+1 Settlement, Data Science, Digital Asset Custody, Digital Transformation, Integration, Standards, Opinion, Q&As Tagged With: automation, back office, compliance, data management, FINRA, SEC, securities lending, securities lending transaction, Securities Operations, T+1 settlement, T+1 transition, wall street

SEC Report Offers Useful Stats On Trillions of Dollars

May 7, 2024 by Eugene Grygo

SEC Report Offers Useful Stats On Trillions of Dollars

The SEC mostly taketh when it comes to data, regulatory forms, and ongoing reports. But every once in a while the regulator giveth as far as key data about trillions of dollars flowing through the securities industry. In particular, SEC staff has just released a new report, “Registered Fund Statistics,” that is based on “aggregated… Read More >>

Filed Under: Derivatives Operations, Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Corporate Actions, Data Management, Hedge Fund Operations, Industry News, Risk Management, Sell-Side, Settlement, T+1 Settlement, Diversity & Human Interest, Financial Inclusion, Women in Financial Services, Diversity, Equity, and Inclusion (DEI), FinTech Trends, Back-Office, Standards, Opinion, Minding the Gap, Performance Analytics, Performance Measurement, Portfolio Management, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: asset managers, financial services industry, FINRA, MIDAS, SEC, Securities Operations, securities trading, Standards, US Securities and Exchange Commission, wall street

FINRA Is Closely Watching for Inaccurate CAT Reporting

May 2, 2024 by Eugene Grygo

FINRA Is Closely Watching for Inaccurate CAT Reporting

The controversial Consolidated Audit Trail (CAT), which has already been fending off lawsuits and industry pushback, has had “instances of millions if not billions of late or inaccurately reported order events,” says Bill St. Louis, executive vice president and head of enforcement at the Financial Industry Regulatory Authority (FINRA). The need to stay on top… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Corporate Actions, Data Management, Operational Risk, Ops Automation, Sell-Side, Standards, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Enforcement, Cybersecurity, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: automation, Big Data, CAT compliance, CAT Project, Consolidated Audit Trail (CAT), FINRA, SEC, surveillance, wall street

The SEC Is Charging More to Regulate You

April 18, 2024 by Eugene Grygo

The SEC Is Charging More to Regulate You

As the SEC very publicly takes on major matters such as its climate disclosure requirements — the fate of which is playing out in court and in Congress — the regulator has quietly moved ahead with an increase in the rate that securities exchanges and broker-dealers pay to be regulated by the commission. “Starting on… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Clearing, Corporate Actions, Data Management, Industry News, Mergers & Acquisitions, Sell-Side, Settlement, T+1 Settlement, Governance, Standards, Opinion, Minding the Gap, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: automation, back office, data management, equities trading, Eugene Grygo, FINRA, Minding the Gap, regulatory reporting, SEC, Securities Operations, wall street

Prometheum Dives Into Digital Asset Securities Custody

December 21, 2023 by Eugene Grygo

Prometheum Dives Into Digital Asset Securities Custody

(Prometheum Inc. will launch a digital asset securities custody platform during the first quarter of next year, according to officials at the firm. This follows recent approval by the Financial Industry Regulatory Authority (FINRA), the self-regulatory organization (SRO) for U.S. broker-dealers, to allow the firm to operate a special purpose broker-dealer (SPBD) that will offer custody for… Read More >>

Filed Under: Securities Operations, Operational Risk, Digital Asset Custody, Digital Transformation, Back-Office, Integration, Standards, Opinion, Q&As, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting Tagged With: automation, back office, blockchain, compliance, custody services, data management, digital asset securities, digital asset securities custody, FINRA, SEC, Securities Operations, wall street

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