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By Silla Brush and Matthew Leising |
October 3, 2012
The CFTC, facing an Oct. 12 start date for a slate of derivatives rules, is being bombarded with requests to ease or delay the Dodd-Frank Act measures.
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By Ginger Szala |
October 1, 2012
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By Steve Zwick |
October 1, 2012
With the recent fraud at PFGBest essentially torpedoing more than a century of trust, is a major overhaul of retail brokering the only solution?
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By Daniel P. Collins, Michael McFarlin |
September 28, 2012
The CFTC's Division of Clearing and Risk extended the deadline to comply with certain provisions of clearing member risk management Rule 1.73
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By Ginger Szala |
September 26, 2012
August volume for CME Group compared to the same period last year was down by 40%. That’s not a statistic that sits well with an industry that has grown, almost non-stop, for a few decades.
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By Matthew Leising |
September 24, 2012
Swaps dealers will have two minutes to accept or reject trades that will be sent to clearinghouses starting next month.
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By Press Release |
August 29, 2012
The Futures Industry Association (FIA) and the International Swaps and Derivatives Association, Inc. (ISDA) today announced the publication of the FIA-ISDA Cleared Derivatives Addendum.
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By Michael McFarlin, Alanna Byrne |
August 24, 2012
Wrap-up of promotions and moves from around the industry.
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By Daniel P. Collins |
August 23, 2012
The debate over high frequency trading (HFT) and whether it will it will lead to a real life Terminator scenario with computers taking over the world, heated up again with the Knight Capital Group glitch
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By Nina Mehta, Bloomberg |
August 20, 2012
UBS AG is starting a unit aimed at quantitative hedge funds that combines prime brokerage and services from its direct execution trading business.