What brokerages must do to succeed in 2012
With 2012 underway, it’s clear that caution is at an all-time high among investors. This is reflected in shrinking trading volumes and tighter brokerage commissions—a sharp contrast to years past,...
View ArticleRegulatory spotlight: ESMA guidelines on automated trading
While discussions about the final contents of MiFID 2 seem set to continue for some while yet, the European Securities and Markets Authority has anticipated some important MiFID 2 issues in a set of...
View ArticleCapital markets regulation: Time for a rethink?
The noise created by the flood of new regulations proposed for the global capital markets, plus the resulting storm of debate, continues to grow louder. I’ve been participating as a technology supplier...
View ArticleHow real-time can risk management be?
The regulatory push towards real-time trading risk management was addressed in a panel session at the 2012 SunGard Industry Seminar in London. The discussion pulled together of a lot of useful...
View ArticleA European Consolidated Tape – How Much Longer Must We Wait?
This blog post was originally published on TabbFORUM. European equity brokers face a number of challenges during the current ‘interim’ between the original MiFID Directive of 2007 and its MiFID 2...
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