Remove 2020 Remove Equities Remove Proprietary Trading
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The TRADE’s most read stories of the year part three: Regulation, consolidation and resignation

The TRADE

The SEC subsequently ordered exchanges to submit new plans for governance of market data in May 2020, in a bid to overhaul control over the equity consolidated tape and address conflicts of interest concerns.

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Volatility trading picking up traction as the market pegs it as a future core strategy

The TRADE

Speaking to The TRADE about this correlation between less predictable markets and a move towards volatility trading, Arik Reiss, former co-head of global equity derivatives research at Bank of America Merrill Lynch, stressed the fact that “volatility trading is more reliable in more variable conditions.”

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Elliott Picks Apart SEC Case on Disclosures

The Deal

Securities and Exchange Commission in 2020 to require an activist to disclose their position in a Schedule 13D filing within five days of owning more than 5% of a company, rather than the current 10-day requirement. of outstanding equity shares. At issue is a measure initially proposed by the U.S.

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Elliott Picks Apart SEC Case on Disclosures

The Deal

Securities and Exchange Commission in 2020 to require an activist to disclose their position in a Schedule 13D filing within five days of owning more than 5% of a company, rather than the current 10-day requirement. of outstanding equity shares. At issue is a measure initially proposed by the U.S.

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The 20 greatest trading innovations

The TRADE

While adoption is widespread in equities other asset classes such as fixed income have been slower to adopt these systems given the nuances of the workflows and liquidity landscapes in these markets. For more information on the various providers in the EMS market, check out The TRADE’s annual survey.

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Unpacking the 20 most impact financial regulations from the last 20 years

The TRADE

These measures included mandates for constraints on proprietary trading (known as the Volcker Rule), and enhanced supervision of derivatives markets, as well as increased capital reserves. A key aspect of Mifid II, is the expansion of transparency requirements, namely in the trading of financial instruments.