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Repo trading becoming an increasing priority for the buy-side

The TRADE

Erik Müller, chief executive of Eurex Clearing described repo as “the oil in the wheels of financial markets,” and a key priority for the business going forward. In addition, retail trading was also cited as a key area of focus as market structure changes and increasing focus across the region continues to grow.

Trading 59
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Evolving regulation expected to push crypto derivatives trading volumes onshore

The TRADE

With market structure for crypto derivatives trading expected to evolve significantly over the next few years, an Acuiti report in association with D2X Group has found that where crypto derivatives are traded is likely to change too. Only 4% of respondents stated that all volumes will be onshore.

Trading 69
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The Collapse of Silicon Valley Bank: The Start of Great Financial Crisis 2.0?

Mergers and Inquisitions

government bonds: In doing so, however, the bank and its “risk managers” made two key mistakes: Long-Term vs. Short-Term – Rather than putting these funds in shorter-term bonds that are less affected by interest rates , SVB invested mostly in longer-term, 10-year bonds whose prices drop significantly when interest rates rise.

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Revolutionizing M&A: Exploring Innovative Financing Options

Sun Acquisitions

However, as technology and financial markets evolve, businesses increasingly use non-traditional financing methods to fuel their growth through acquisitions. However, challenges such as regulatory scrutiny and the complexity of managing numerous small investors must be carefully navigated.

M&A 59
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Fireside Friday with… Torstone’s Mack Gill

The TRADE

This is a truly significant structural change for the markets in North America, but it’s going to have a broad impact across global markets and across the industry. Compression of settlement cycles has become a very important theme for all of us in the financial markets. The other area is risk management.

Trading 59
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Unpacking the 20 most impact financial regulations from the last 20 years

The TRADE

Over the past two decades, several critical financial market regulations have been implemented globally, particularly in response to the 2008 Global Financial Crisis (GFC). The years following 2008’s GFC experienced continued financial regulatory reform.

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The TRADE predictions series 2025: The liquidity landscape

The TRADE

Investors have learnt that they need to expect the unexpected, which is why liquidity risk management practices are now so important. I see this being a big theme for market participants next year ensuring that they are operationally resilient. On the secondary markets front, liquidity fragmentation remains a pressing issue.

Trading 59