How Asset Manager M&A Impacts FX Trading Technology Choices, Part 2

In Part 1 of this two-part series, we discussed some of the challenges around order generation in FX management that confront asset managers undergoing a merger or acquisition. Specifically, we looked at issues that arise when firms seek to combine and rationalize...

How Asset Manager M&A Impacts FX Trading Technology Choices, Part 1

Mergers and acquisitions between asset management firms are at a historical high, driven by margin compression, the ascendance of passive management, and growing regulatory compliance costs. A thorny FX management challenge facing asset management firms is the need to...

MiFID II Transaction Reporting Challenges for the Buy-Side

We discuss the key role that technology plays in helping buy-side firms achieve compliance with the regulation’s extensive trade and transaction reporting requirements. Technology solutions must integrate dozens of reporting fields from disparate OMS/EMS, legal...

A Buy-Side Framework for Managing OTC Derivatives

Learn how several regulatory and structural drivers are affecting buy-side usage of OTC derivatives, leading to higher trading costs and a fundamental reshaping of technology infrastructure for managing derivatives. Charles River Development discusses those challenges...

How an OEMS Helps Buy-Side Firms Achieve Best Execution

Learn how an Order and Execution Management System (OEMS) can help traders better serve the needs of their fixed income clients by providing extensive execution analysis capabilities and ensure compliance with emerging regulatory requirements. View the TABB Forum...