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NYSE, Nasdaq & Bats Join Forces on Volatility Rules

August 15, 2016 by Eugene Grygo

Bats Global Markets (Bats), the Nasdaq Stock Market and the New York Stock Exchange (NYSE), a subsidiary of Intercontinental Exchange, have been working together for about a year on a way to harmonize key functions of U.S equity markets to “increase resiliency during times of extreme volatility,” confirm officials from all three exchanges. “In the… Read More >>

Filed Under: General Interest, Regulation & Compliance, Industry News Tagged With: BATS Global Markets, harmonization, Intercontinental Exchange, LULD Plan, Nasdaq, New York Stock Exchange, Nyse

Hong Kong Clarifies Rules for OTC Derivatives Trading

March 7, 2016 by Lynn Strongin Dodds

The Hong Kong Monetary Authority (HKMA) and the Securities and Futures Commission (SFC) proposals on introducing mandatory clearing and expanding mandatory reporting for the second stage of the over-the-counter (OTC) derivatives regulatory regime is only the next stage of the territory’s staggered approach to implementing new derivatives rules. The actions were expected and sell- and… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Clearing, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: Anshuman Jaswal, Asia-Pacific, CCP, Celent, central clearing counterparty, CFTC, collateral management, derivatives clearing, derivatives trading, Dodd-Frank, European Commission, foreign exchange, FX, harmonization, HKMA, Hong Kong Monetary Authority, MAS, Monetary Authority of Singapore, OTC derivatives, Securities and Futures Commission, SFC, swaps, Tabb Group

Lack of Global Standards Impedes Trade Repositories: ESMA Report

February 11, 2016 by Lynn Strongin Dodds

The lack of global standards in the trade repository space (TR) could hinder the repository process, a finding of the European Securities and Markets Authority (ESMA) in its recently published 55-page 2016 annual report, which outlines its supervisory priorities for credit ratings agency (CRA) governance as well as the quality and data access for TRs…. Read More >>

Filed Under: Derivatives Operations, Middle-Office, Operational Risk, Risk Management, Governance, FinTech Trends, Regulation & Compliance, Regulatory Compliance Tagged With: Committee of Payments and Market Infrastructures, Dodd-Frank, EMIR, ESMA, European Market Infrastructure Regulation, European Securities and Markets Authority (ESMA), Financial Stability Board, Fitch Ratings, governance, harmonization, Legal Entity Identifiers, LEIs, Linedata, Moody’s, OTC derivatives, Sapient GLobal Markets, Standard & Poor's, Standards, trade repository, Unique Product Identifiers, Unique Trade Indentifiers, UPIs, UTIs

Sibos Preview: Time to Harmonize ISO 20022-based Ops?

October 12, 2015 by Eugene Grygo

Harmonization around the ISO 20022 standard will be one of the key themes at the Sibos annual gathering of the financial messaging cooperative SWIFT, underway this week in Singapore at the Sands Expo and Convention Centre of the Marina Bay Sands complex. As the ISO 20022 standard has been gaining ground among industry players, SWIFT… Read More >>

Filed Under: Securities Operations, Corporate Actions, Industry News, Middle-Office, Settlement, FinTech Trends, Standards, Regulation & Compliance Tagged With: corporate actions processing, DTCC, harmonization, ISO 20022, messaging, Sibos 2015, Standards, SWIFT

ISDA Shakes Up Internal Teams

January 16, 2015 by Ryan Boysen

The International Swaps and Derivatives Association (ISDA) has shaken up its public policy and regulatory and legal team line-ups, in order to “reflect the next phase of regulatory reform and to support cross-border harmonization efforts,” according to an ISDA statement. Steven Kennedy has been made ISDA’s global head of public policy, a newly created position… Read More >>

Filed Under: Industry News, People Moves Tagged With: CFTC, cross-border, harmonization, isda, risk

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