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In 2022, Partners Group acquired a minority stake in the company, joining existing owner CVC Growth, an affiliate of CVC Capital Partners. The post PE-backed VelocityEHS buys riskmanagement software firm Contractor Compliance appeared first on PE Hub.
The EIB Group publishes annually its Group RiskManagement Disclosure report (the GRMD Report) which provides qualitative and quantitative disclosures about EIB Group’s exposure to risks and its approach to managing them.
Getaround still hasn’t reported fourth-quarter and full-year 2022 earnings, despite the fact that we are well into the second-quarter of 2023 and other companies are now reporting first-quarter earnings. HyreCar brings other assets to the table, including extensive user data and strong riskmanagement solutions, according to Zaid.
This report, the second publication by the Global Emerging Markets Risk Database Consortium (GEMs), on sovereign and sovereign guaranteed lending, provides statistics derived from pooled GEMs data from 1998 to 2022.
Reflecting on past instances such as the March 2020 turmoil, Archegos incident, and stress in liability-driven investment funds in 2022, the report underscores the impact of such events on liquidity dynamics within the NBFI sector. The first three recommendations focus on enhancing liquidity riskmanagement practices and governance.
rise year-on-year as compared to 2022. LSEG highlighted the importance of integration following the 2022 acquisition of Quantile, and Acadia. The integration of TORA – acquired back in 2022 – is set to move to the OpenFin platform in 2024 in order to facilitate easier integration with customers’ own platforms.
The deal follows LSEG’s acquisition of Acadia in 2022 in a bid to build out its multi-asset post-trade capabilities. Acadia provides riskmanagement, margining and collateral services for the uncleared derivatives markets. LSEG had held a minority stake in the firm since 2018.
Murden previously served at Redburn between 2004 to 2022 before leaving to join RBC. “Reto has a superb reputation with the Swiss clients and beyond. Prior to Panmure Gordon, McCormack has also previously served at RBS, ABN AMRO, Shore Capital, HSBC Securities and GNI. Pete Murden is also set to re-join the firm in July from Tourmaline.
Catherine Clay, global head of derivatives at Cboe The new options on VIX futures will offer investors an additional tool to help manage US equity market volatility. They complement Cboe’s existing securities-based VIX index options, which are designed to provide similar riskmanagement and yield enhancement capabilities.
SVB’s deposits grew from ~$62 billion at the end of 2019 to $173 billion at the end of 2022, and its loan-to-deposit ratio went completely out of whack: Tech startups were flush with cash due to a ridiculous fundraising environment in 2020 – 2021, and they put the money they raised in the bank.
The daily chart also provides a clear riskmanagement method based on technical analysis principles, as a break below $340 would resolve this recent consolidation phase to the downside. There were three tests of the 150-week moving average since 2020, with the most significant break appearing in September 2022.
Total income grew to £4 billion, marking an 8% increase in comparison with H1 results from 2022, largely thanks to an “outstanding” 19% growth in post-trade revenues. Acadia provides riskmanagement, margining and collateral services for the uncleared derivatives markets. LSEG has held a minority stake in the firm since 2018.
“Our offering will certainly appeal to new user groups that have stricter ESG mandates and need to invest responsibly, such as asset managers who invest on behalf of endowment funds or foundations.” Average daily trading volume last year was more than 12,000 contracts, with annual trading volume roughly 5% above 2022.
In the same period, international accounted for $332 million in Q3 up from $311 in Q3 2022. Changing interest rates have made efficient riskmanagement capabilities essential for success in portfolio trading and while rate cuts are already being priced in for 2024, whether or not these will come to be a reality is a question for next year.
It wasn’t so much that 2023 was subdued but I think it was always going to be difficult to compare to 2022, which saw monetary policy divergence, with each central bank needing to combat inflation and raise rates as they saw fit. What we saw last year was that market makers or dealers started riskmanaging as well.
The report, titled ‘Transparency and Responsiveness of Initial Margin in Centrally Cleared Markets: Review and Policy Proposals’ builds on a previous publication, the BCBS-CPMI-IOSCO Review of Margining Practices, from September 2022.
Its overall market share for cash equities clearing was 34% in the first half of 2023, an year-on-year increase from 2022. Cboe Clear Europe is an independent subsidiary of the Cboe group, operating with its own governance structure and management team – bolstered through the appointment of Vikesh Patel as President in December 2022.
The offerings build on existing strengths in trade surveillance, algo and quant trading solutions, leveraging the recent acquisitions of Abel Noser Solutions in August and RCM-X in March 2022.
The aftermath of 2022’s high volatility – which peaked in Q4 – has led firms to increase the degree to which they hedge, with the market acutely aware of the persistent threat of significant geopolitical situations across the globe.
I'll update my riskmanagement comments below. We have seen this a number of times in just the past few years: Ukraine-Russia in 2022, Israel-Hamas in 2023, and now escalations in Iran. Their performance is often counter-cyclical to the risk-off sentiment we see, offering diversification when other sectors fall.
Overall, CME, ICE and Eurex posted solid quarterly results, driven in large part by the demonstrably positive correlation between an uncertain macroeconomic backdrop and riskmanagement opportunities. Interest rate derivatives decreased by 12% compared to 2022 for June – going from 82 million to 72.1 Speaking to this, Jeffrey C.
Since the announcement of the Digital Lending guidelines in 2022, India’s lending landscape has had to make multiple pivots to stay relevant to its customers. As 2023 draws to an end, here’s a recap of all the major touch-points the RBI has had with digital lending companies since September 2022.
Here is a summary of the report: M&A transaction activity for cybersecurity companies in Q3 2024 improved over the previous quarter but declined from the prior year and remained below levels in 2021 and 2022. Data Protection, RiskManagement, and Infrastructure were other key sub-sectors of M&A activity.
The use of the RFM protocol grew from 59% to 71% of total business from Q3 2022 to Q3 this year, with the RFQ protocol usage falling from 41% to 29%, whilst the business grew by 92% across that same period. The $549 million penalties underscore the urgency for a paradigm shift in riskmanagement.
RiskManagement, Infrastructure, and Identity were other key sub-sectors of M&A activity.Identity acquirers are increasingly looking to offer comprehensive and more efficient coverage of end-customers on-premises and cloud environments, given legacy deployments of siloed identity solutions. at: mkim@solganick.com
Examples highlighted by the report include The London Stock Exchange Group (LSEG) having converted itself into a global data powerhouse, ICE is modernising the US mortgage market, Nasdaq making waves in the riskmanagement business, and key players such as Tradeweb and MarketAxess acquiring algo providers. to just over £2.6
BMLL Technologies BMLL provides its clients – banks, brokers, asset managers, hedge funds, global exchange groups, academic institutions and regulators immediate and flexible access to Level 3, harmonised, T+1 historical order book data and advanced pre- and post-trade analytics at scale.
By Aisling O'Toole on Growth Business - Your gateway to entrepreneurial success Despite UK fintech funding dropping 8 per cent in 2022, the sector is still in good health and remains ahead of rival hubs in Europe and Asia, says industry body Innovate Finance.
While deal volume dipped compared to 2021 and 2022’s frenetic pace, the sector displayed remarkable resilience, attracting continued investor and strategic buyer interest. Here’s a closer look at the key trends that shaped 2023 and what IT services M&A might hold in 2024.
He joined Viking Mergers & Acquisitions in 2022 to serve the entire Myrtle Beach, Grand Strand area of South Carolina as well as the Wilmington, North Carolina, market. Understanding that and incorporating riskmanagement into their strategic plan will help mitigate future threats.”
Securities and Exchange Commission (the “SEC” or “Commission”) adopted rules to enhance and standardize disclosure requirements related to cybersecurity incident reporting and cybersecurity riskmanagement, strategy, and governance. The rules were approved by the SEC on a 3-2 vote, with the two Republican commissioners dissenting. [1]
But after the Digital Lending Guidelines (DLG) issued by RBI came into effect on December 1st, 2022, it changed the complete money flow between the NBFCs and their Fintechs partners. This is why digital lenders prioritising riskmanagement rather than solely focusing on increasing disbursements are faring better on asset quality.
JP Morgan’s rival Morgan Stanley have been serial outperformers in the aforementioned Prime Brokerage Survey for some years now – picking up the Best Prime Broker accolade in 2022 and an Overall Excellence Honour in 2023 – and 2024 was no different, beating the global average by 44 basis points.
I actually lead the sustainability practice here at Caliber Collision, which also includes riskmanagement. Eddie Hightower: Yeah, we actually started our baseline greenhouse gas emissions reporting in 2022 and we did all scopes. Sustainability is just really good riskmanagement. So I’m Eddie Hightower.
In a wider sense, Basel III impacted financial market by promoting greater stability, resilience, and riskmanagement within the banking sector. This has resulted in a range of operational and legal challenges, as well as potential basis risk between Libor and RFR-based contracts.
In November 2022, the exchange was cleared to acquire portfolio optimisation services provider Quantile Group, with the aim of helping derivatives run smoother. The success of SwapAgents GBP/USD execution follows significant post-trade expansion for LSEG.
He has been in his current position leading Calibers sustainability practice, which includes riskmanagement, for the last three years. The MSO worked with an energy use management partner to identify opportunities to improve our energy consumption and to be greener in what we’re doing, Hightower said.
The increasing degree of competing narratives will leave no room for complacency for global clients in their riskmanagement activity. By 2025, the focus will be on balancing growth with riskmanagement, making emerging markets a key area of interest for global traders and investors alike.
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