Q&A: Asset Segregation for Cleared OTC Derivatives
A Q&A to address questions on asset segregation models to support cleared OTC derivatives from webinar attendees
Latest Posts
ICMA Publishes Two Studies which Highlight the Effect of Regulation on Capital Market Activity
The International Capital Market Association (ICMA), the trade body for participants in the cross…
CCP Recovery Proposal – Do They Go Far Enough?
Michael Beaton, managing partner at Derivatives Risk Solutions (DRS) assesses whether ISDA’s proposals for…
NRI Adds Average Price in Margin and Derivative Trading Functionality to I-STAR Back-office Solution Ahead of March 2015 Regulation
Nomura Research Institute, Ltd. (NRI), a leading provider of consulting services and system solutions,…
SWIB Selects Markit for Enterprise Data Management
Markit (Nasdaq: MRKT), aleading global diversified provider of financial information services, today announced that…
EDM Council Releases Best Practice for Data Management
DCAM™ Defines Standard Criteria for Evaluation of Data Management Capability in Financial Services The…
ESMA Publishes Addendum Consultation Paper to Implementing Rules for MiFID II/MiFIR
The European Securities and Markets Authority (ESMA) has published today a consultation paper (CP)…
Bloomberg TOMS Designated as a Financial Conduct Authority (FCA) Approved Reporting Mechanism (ARM) for MiFID Transaction Reporting
Bloomberg announced today that as of December 1, 2014, Bloomberg’s sell-side trading solution has…
News in Review Feb 18th
A synopsis of the headlines in the derivatives industry from the last week. North…
AQMetrics Announces an Enhanced AIFMD and UCITS Risk Management Offering — now Works with Bloomberg Data
AQMetrics announced today that its integrated regulatory risk management and compliance software has been…
ESMA and JFSA Conclude an MoC regarding CCPs
The European Securities and Markets Authority (ESMA) and the Financial Services Agency of Japan…