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Trading Systems

Published on 16 May 2012

Value of Trades at Risk of Failure Significant, According to New Study

A significant proportion of trades still fail to settle on time, despite improvements to clearing and settlement infrastructures globally, according to a new study from Omgeo, the global standard for post-trade efficiency...

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Published on 16 May 2012

smartTrade Technologies Powers FXSpotStream

smartTrade Technologies announced that FXSpotStream LLC, the recently announced multibank Spot FX price aggregation service, is powered by smartTrade’s Liquidity Management System...

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Published on 16 May 2012

Kinetic partners with Redkite Financial Markets

Kinetic Partners announced that it is partnering with Redkite Financial Markets, a specialist provider of market surveillance systems, to offer a comprehensive regulatory and trading surveillance solution.

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Published on 16 May 2012

Numerix Introduces New Instrument Coverage and Usability Features in LiquidAsset 2.0

Numerix announced the release of Numerix LiquidAsset 2.0, an easy-to-use, rapidly deployable solution to price the most common set of liquid OTC derivatives. Built on Numerix CrossAsset, the industry’s leading pricing analytics platform, LiquidAsset is available on the desktop through Microsoft Excel, or can be integrated into proprietary or third-party systems with the Numerix LiquidAsset SDK...

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Published on 16 May 2012

SunGard Identifies Ten Trends for Utilities in Energy Trading & Risk Management

Trip Ray, managing director of SunGard’s Energy & Commodities business, said, “Utilities are in the midst of a transformation; from the emergence of supergrids and renewable energy to continued focus on evolving regulations. To capitalize on these changes, utilities are looking to introduce innovations in technology to help drive revenue protection and decrease operational costs. For instance, they are seeking to increase data transparency, replace aging infrastructures for improved

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Published on 16 May 2012

Lombard Risk reveals final results for the year ended 31 March 2012

Lombard Risk Management plc ("Lombard Risk" or the “Company"), a leading global provider of collateral management, liquidity and regulatory reporting and compliance solutions for the financial services industry, is pleased to announce its final results for the year to 31 March 2012...

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Published on 15 May 2012

Fitch Solutions: JP Morgan, Portugal Drive Global CDS 5% Wider

Unrest among North American banks and European sovereigns drove global credit default swap (CDS) spreads nearly 5%, according to Fitch Solutions in its latest Risk and Performance Monitor...

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Published on 15 May 2012

Fitch Solutions Expands CDS Pricing Service

To provide greater transparency within the global credit derivatives market, Fitch Solutions has expanded its CDS Pricing Service to now include single name CDS derived bid-offer spreads and CDS benchmark curves that show average CDS values by rating level, industry sector and region...

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