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Banking agencies and the DOJ have signaled an openness to bank M&A where the combined institutions will enhance competition, customer benefits, technological innovation, and enterprise riskmanagement. By: Jones Day
The EIB Group publishes semi-annually its Group RiskManagement Disclosure report (the GRMD Report) which provides qualitative and quantitative disclosures about EIB Group’s risk profile, riskmanagement structure and risk policy.
Washington, DC, (January 9, 2025) FOCUS Investment Banking is pleased to announce that John-Michael Tamburro has joined the firm as a Managing Director in its Technology Services group. John-Michaels career spans an impressive range of finance disciplines, including derivatives, private equity, and investment banking.
The firm reiterated a buy rating on the investment bank on Wednesday, alongside a $700 per share price target, which represents 12% upside from Wednesday's $624.17 He expects Goldman is relatively well positioned to handle any potential volatility in the sector. Shares have added 9% in 2025, and have gained about 4% in June.
When it comes to funding a business, many leaders instinctively turn to traditional options like bank loans or overdrafts. Unlike traditional banks, they can move quickly and structure deals to suit specific growth needs. Finding the right contact at a high street bank can unlock lending opportunities.
This target is negotiated and agreed upon, and the investment banking advisor will play a large role here. Stay Current Leaning heavily on one product, service, outdated technology or critical piece of equipment is a risk. These are called addbacks, and are extremely important to valuation.
Financial institutions need to improve real time riskmanagement and mobilise collateral to optimse capital and liquidity deployment. Nasdaq Calypso allows financial institutions to managerisk, margin, and collateral needs in an integrated environment.
Buy-side traders value the expertise and riskmanagement capabilities of high-touch sales traders. Forster added: While electronic trading is becoming more prevalent, high-touch sales traders still play a vital role in program trading, particularly for complex orders or those involving non-U.S. constituents.
Peel Hunt Redburn Atlantic’s head of electronic trading has left the firm to join UK investment bank Peel Hunt, as revealed by The TRADE. Meroni joins from Sanford Bernstein and also previously served at Lehman, Goldman Sachs, UBS Investment Bank and Nomura. He replaces Nishad Vallonthaiel as head of electronic trading.
In December 2024, the bank was named a strategic partner ahead of the launch of GFO-X in Q1 2025 , the UK’s first regulated and centrally cleared trading venue dedicated to digital asset derivatives.
Michael Higgins The brokerage has said that the launch follows growing industry demand for increased sophistication in riskmanagement tools, and through the offering, institutional clients will be able to execute, and cross-margin OTC options integrated with the rest of their digital asset portfolio.
Novobanco and Nasdaq have expanded their technology partnership, wherein Novobanco will expand its use of Nasdaqs Calypso platform to support the banks entire capital market operations. Nasdaq Calypso is a global, multi-asset trade management platform which claims to streamline trading, clearing, riskmanagement, and post-trade processing.
“Our 24-hour trading capability marks a major step forward in providing clients with the market access they demand in today’s fast-paced global environment,” said Burke Dempsey, EVP, head of investment banking and capital markets at Wedbush. “By partnering with Blue Ocean and OTC Markets, we are already bridging the gap across time zones to offer (..)
The bank was part of the initial first group of settlement members that went live when the service launched in 2002, and moved to an indirect, third-party participation in 2009. The post OTP Bank becomes CLSSettlement’s seventy fifth settlement member appeared first on The TRADE.
Aroeman brings more than 30 years of industry experience to his new role, largely covering the delivery of derivatives, structured products and riskmanagement solutions to Indonesian clients.
The London Stock Exchange Group (LSEG) has entered an agreement to provide trading, clearing and market surveillance technology to power Brazil’s next-generation derivatives and futures exchange, A5X. Ron Lefferts The agreement will see A5X operating LSEG’s integrated market infrastructure technology suite, which includes pre-trade riskmanagement, (..)
Security Operations constituted the largest sub-sector of M&A activity , followed by RiskManagement , Infrastructure , and Identity. Strategic acquirers are increasingly unifying disparate security tools to simplifyoperations and gain greater visibilityacross organizations’attack surface and prioritize cyber risks.
Initially focused on riskmanagement and capital controls, regulations now encompass a broader range of concerns, including data privacy, technological innovation, and operational resilience. As banks navigate this increasingly complex […]
RBC Capital Markets has joined credit default swaps (CDS) clearinghouse, ICE Clear Credit, as a Futures Commission Merchant (FCM) clearing participant. Eric Aldous The move comes as part of the firm’s push to expand its CDS client clearing services and marks the first FCM with a Canadian parent company, Royal Bank of Canada, to join ICE Clear Credit. (..)
However, we didn’t really think that big banks, big institutions would want to do it from day one. Basically, it’s very expensive for banks to add compliance and trading systems to support significantly increased trading hours. Add to that, the fact that stock trading is of course very regulated.
Weve learned over the years, with CSDR in the EU and T+1 in the US, that the implementation of tactical workarounds to manage settlement operations leads to higher costs and inefficiencies over the long term.
This publication presents a comprehensive index assessing climate risk for over 170 countries, distinguishing between physical and transition risks while accounting for adaptation and mitigation capacities.
Repo is increasingly no longer just a bank topic anymore, said experts speaking at a closed Deutsche Boerse roundtable on Tuesday. Robbert Booij The asset class is increasingly becoming a buy-side topic said experts as end clients are voluntarily joining the cleared repo environment, viewing it as a neat instrument to facilitate trading.
The EIB Group publishes semi-annually its Group RiskManagement Disclosure report (the GRMD Report) which provides disclosures about EIB Groups exposure to risks. The GRMD Report also referred to as Pillar 3 - enhances the EIB Groups market transparency with respect to its risk profile, riskmanagement policies and practices.
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Infrastructure constituted the largest sub-sector of M&A activity, followed by RiskManagement and Data Protection. The deal team has completed over 200 M&A transactions to date and is recognized by Axial and other industry leaders as a top investment banking firm.
Bank for International Settlements. Credit riskmanagement. On April 30, 2024, Bank of International Settlements issued updated guidance on counterparty credit riskmanagement. By: Davis Wright Tremaine LLP
The Role of Enterprise RiskManagement Platforms in Mitigating RisksBanking and financial organizations experience various risks that can influence regulatory compliance, growth strategies, and operational efficiencies. In such cases, enterprise riskmanagement (ERM) platforms […]
On May 17, Fed Governor Michelle Bowman delivered a speech to the Pennsylvania Bankers Association focusing on bank regulatory reform, opportunities for engagement, bank mergers and acquisitions, third party riskmanagement, regulations under the EGRPRA, and prioritization within bank regulation and supervision.
UAE national bank Commercial Bank International (CBI) has adopted Bloomberg’s multi-asset risk system (MARS) modules for counterparty risk, market risk and valuation. The bank will now adopt three additional modules of the solution, making MARS its primary riskmanagement system.
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.
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.
Starting with this edition, the EIB Group publishes semi-annually its Group RiskManagement Disclosure report (the GRMD Report) which provides disclosures about EIB Group’s exposure to risks.
Sanjay Moolchandani, a global banking leader with over 20 years of experience in financial technology and riskmanagement, has been at the forefront of integrating advanced technology into financial riskmanagement frameworks.
In 24 hours, it went from “We’re fine, but we took some losses and need additional capital” to “The FDIC is taking over, the government has guaranteed uninsured deposits, and there might be additional bank runs and a financial crisis or three.” It’s the second-biggest bank failure in U.S. Silicon Valley Bank did not “fail” in 24 hours.
Michael Peters At a recent roundtable, Deutsche Börse Group derivatives exchange, Eurex, shared its plan to harmonise onto one riskmanagement infrastructure over the next two years. Almost a decade ago, back in 2014, Eurex clearing was a leading innovator when it came to real-time riskmanagement.
Navigating the New Era of RiskManagement: Complex Models in Modern Banking Written by Sanjay Moolchandani April 2024 The banking and finance sector is navigating significant change driven by rapid technological advancements, evolving regulations, a changing economic landscape, and the sophisticated nature of today’s financial markets.
Chintamani Bagwe, an accomplished Fintech Expert in Banking Compliance and RiskManagement, currently serves as a Senior-level technology leader at Citibank.
Navigating Cloud Compliance in Banking: Leveraging CSA CCM Framework By Samir Vinayak Bayani, Technical Lead, VMware Introduction The modern banking industry, often considered the custodian of the world’s wealth, operates in an environment that demands the utmost diligence in riskmanagement and regulatory compliance.
FRANKFURT (Reuters) – Euro zone lenders may not have a full understanding of their exposure to the quickly growing private credit and equity markets, so bank supervisors plan to outline new riskmanagement expectations, the European Central Bank said on Wednesday.
Finance Minister Nirmala Sitharaman on Saturday said the public sector banks' profit in the last nine years has tripled to Rs 1.04 The net profit of public sector banks (PSBs) has almost tripled to Rs 1.04 The net profit of public sector banks (PSBs) has almost tripled to Rs 1.04 Banks should not sit back and revel in success.
China Minsheng Bank has adopted Bloomberg’s sell-side execution management solution, ETOMS, alongside expanding its use of Trade Order Management Solutions (TOMS). The post China Minsheng Bank enhances market-making capabilities through adoption of Bloomberg sell-side solutions appeared first on The TRADE.
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