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Russell Investments to Use SS&C for IBOR Push

October 24, 2016 by Eugene Grygo

Asset manager Russell Investments will be using proprietary, integrated systems from SS&C Technologies as the middle office core for an investment book of record (IBOR) that will help the firm’s portfolio managers trading in global markets. The firm, which has $244 billion in assets under management, is expanding its IT support for investment accounting, performance… Read More >>

Filed Under: Derivatives Operations, Derivatives Processing, Middle-Office, General Interest, FinTech Trends, Performance Measurement, Regulation & Compliance, Industry News Tagged With: IBOR, investment book of records, Jon Anderson, middle office, OTC derivatives, Post-Trade Processing, Russell Investments, SS&C, SS&C Technologies, Vernon Barback, William C. Stone

Blockchain Project Tests Post-Trade Ops for Swaps

October 19, 2016 by Eugene Grygo

Barclays, Citi, Credit Suisse and JPMorgan with the help of Axoni and other vendors have been successfully testing since June post-trade processes based on blockchain/distributed ledger technologies and smart contracts that support over-the-counter (OTC) equity swaps. “Industry collaboration is key in driving blockchain innovation and Barclays is keen to remain at the forefront of this,”… Read More >>

Filed Under: Securities Operations, Ops Automation, Settlement, FinTech Trends, Back-Office, Blockchain/DLT Tagged With: Axoni, Barclays, blockchain, Capco, Citi, Credit Suisse, distributed ledger technology (DLT), IHS Markit, JPMorgan, OTC derivatives, post-trade operations, Post-Trade Processing, settlement, swaps, Thomson Reuters

LSE, Deutsche Börse Juggle Options to Save Merger

October 6, 2016 by Lynn Strongin Dodds

It is unclear whether the London Stock Exchange’s plans to sell its French clearing unit — LCH SA — will appease the E.U. regulators who have launched an extensive probe into its €24 billion ($26.9 million) merger with Deutsche Börse. However, there will be plenty of interest especially from Euronext, which is a well-known opponent… Read More >>

Filed Under: Derivatives Operations, Clearing, Mergers & Acquisitions, General Interest, Industry News Tagged With: central counterparty clearinghouse (CCP), clearing, derivatives, Deutsche Borse, Euronext, LCH, London Stock Exchange, OTC derivatives

OpenGamma Gets $13.3M to Push Risk Analytics Standards

October 6, 2016 by Eugene Grygo

A vendor offering open source risk analytics for derivatives, OpenGamma reports that it has raised $13.3 million in total from venture capital firm Accel, ICAP’s Euclid Opportunities investment arm, and Cristóbal Conde, the former president and CEO of SunGard, all in a bid to accelerate plans to become the maker of benchmark industry-standard risk analytics…. Read More >>

Filed Under: Derivatives Operations, Derivatives Processing Tagged With: Accel, cloud computing, cloud technology, Cristobal Conde, derivatives, derivatives pricing, ICAP, OpenGamma, OTC derivatives, risk analytics, software-as-a-service (SaaS)

MiFID II Group Grows, Readies IT Roadmap

September 27, 2016 by Lynn Strongin Dodds

The Project Sentinel collaboration of banks to mutualize MiFID II costs completes the first round of assessments of potential technology partners, the initiative has seen an increase in consortium numbers from the original four to seven banks to eight to 10 in the current phase. “At this stage, our sleeves are rolled up and the… Read More >>

Filed Under: Derivatives Operations, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting Tagged With: Etrading Software, MiFID II, OTC derivatives, Project Sentinel, Santander Global Corporate Banking

Exchanges, Clearinghouses, CSDs Embrace DLT with Caution

September 1, 2016 by Lynn Strongin Dodds

The world’s largest securities exchanges, clearinghouses and central securities depositories (CSDs) are exploring the possibilities of blockchain/distributed ledger technology (DLT). But concerns remain as to whether the technology will deliver the promised goods of a more streamlined and efficient world, according to a new survey conducted by the World Federation of Exchanges (WFE) and the… Read More >>

Filed Under: Derivatives Operations, Securities Operations, Clearing, FinTech Trends Tagged With: AMCC Affiliate Members Consultative Committee, blockchain, BNY Mellon, clearinghouses, CME Group, CSDs, Depository Trust and Clearing Corp. (DTCC), Deutsche Bank, Deutsche Borse, DLT, exchanges, Fixed Income, Hong Kong Exchanges and Clearing Co. (HKEx), iosco, LCH.Clearnet, Nasdaq Stock Market, OTC derivatives, Santander, Singapore Exchange, Siobhan Cleary, SIX Swiss Exchange, Utility Settlement Coin (USC), World Federation of Exchanges (WFE)

Tullett Prebon Buys CME’s Hybrid Trading IT

August 9, 2016 by Eugene Grygo

Interdealer broker Tullett Prebon is acquiring from CME “a long term license of a hybrid trading technology” that it will further develop internally “to provide bespoke, proprietary, customer-facing capabilities,” officials say. Tullett Prebon has been busy lately, having purchased the hybrid, U.S. voice-broking business operations of Creditex from the Intercontinental Exchange (ICE), and before that… Read More >>

Filed Under: Derivatives Operations, Derivatives Processing, Clearing, Mergers & Acquisitions, FinTech Trends, Back-Office, Industry News Tagged With: CME, GreenKey, MiFID II, OTC derivatives, post trade, trading technology, Tradition, TriOptima, Tullett Prebon

Clearing Relief Comes for Small Firms in Europe

August 1, 2016 by Lynn Strongin Dodds

Although larger financial services firms or so-called “Category 1” players jumped out of the over-the-counter (OTC) derivatives mandatory clearing starting gate on June 21, 2016, smaller users or “Category 3” firms could be getting a reprieve and see their start date delayed from 2017 to 2019. The deadline has been extended by European Securities and… Read More >>

Filed Under: Derivatives Operations, Clearing, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: clearing, derivatives, European Market Infrastructure Regulation (EMIR), European Securities and Markets Authority (ESMA), OTC derivatives, OTC derivatives clearing

HTG Capital Buys Three of Kottke’s Businesses

July 27, 2016 by Eugene Grygo

HTG, Kottke to Form a ‘Strong Team’ HTG Capital Partners, a liquidity provider for listed and over-the-counter (OTC) derivatives instruments, is slated to acquire the introducing broker, money management and proprietary trading businesses of Kottke Associates, creating “a strong team” to take on the futures industry, say officials. HTG and Kottke Associates, which is a… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, General Interest, FinTech Trends, Regulatory Compliance, Industry News Tagged With: CACEIS, CBOT, Chicago Board of Trade, Chirs Hehmeyer, collateral, commodity trading, compliance, Crédit Agricole, derivatives instruments, DTCC, Euroclear, Holger Sepp, HTG Capital, information technology, KABG law, Kottke Associates, Margin Transit Utility (MTU), Matthias M. Ruttmann, Mineralien Schiffahrt Spedition und Transport GmbH (MST), National Futures Association, Neal Kottke, NFA, Northern Trust, OTC derivatives, risk management

FINCAD Debuts Web App for F3 System

July 14, 2016 by Eugene Grygo

FINCAD, a valuation and risk analytics vendor for derivatives portfolios, has added a web-based portfolio analytics and risk application to its F3 offering in an effort provide a more straightforward interface and improved usability, officials say. The FINCAD F3 with the new F3 WorkStation is being targeted at quants, portfolio managers, traders, and risk managers… Read More >>

Filed Under: Derivatives Operations, Derivatives Processing, Operational Risk, Risk Management, FinTech Trends, Regulation & Compliance, Derivatives Tagged With: analytics, Basell III, derivatives, Derivatives Valuation, Dodd-Frank, EMIR, FINCAD, OTC derivatives, risk management, Solvency II

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