Derivs - People and Markets
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RBC Investor & Treasury Services has launched a new collateral management service to help asset managers comply with non-cleared derivatives rules.
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LCH has appointed Matthew Fetta as chief operating officer of SwapClear and listed rates.
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Roland Domann has joined Nomura to look after the asset and liability management and insurance solutions structuring team focusing on European pension fund and insurance clients.
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Firms are continuing to struggle with reporting quality and processes around MiFID II compliance, according to a new survey.
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The International Swaps and Derivatives Association (ISDA) has called for more clarity from regulators on the terms surrounding the cessation of Libor.
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The European Securities and Markets Authority has appointed Robert Ophèle as acting chair of its central counterparty supervisory committee.
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Andreas Mitschke has been appointed as head of the the trading surveillance office (TSO) for both the Frankfurt Stock Exchange and derivatives exchange Eurex.
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Christopher Giancarlo, former chairman of the US Commodity Futures Trading Commission (CFTC), will return to the private sector in his first job since leaving the regulator.
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The UK Financial Conduct Authority (FCA) has started a consultation on how it should apply the Senior Managers Regime (SMR) to benchmark administrators.
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Finbarr Hutcheson, president of ICE Clear Europe, will leave the company in March next year, as the exchange and clearing operator begins the search for his replacement.
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After more than three years of negotiations, European Union ambassadors are aiming to approve, at a technical level, a CCP resolution deal on Wednesday, opening the way for final negotiations with the European Parliament.
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The Basel Committee on Banking Supervision (BCBS) has published a consultation on revisions to the credit valuation adjustment (CVA) risk framework.