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Financial Markets Operations Management (57 page)
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Authors:
Keith Dickinson
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Financial Markets Operations Management
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national CSDs
see
domestic CSDs
national numbering agencies (NNAs), securities
national rules, corporate actions
national securities exchange (NSE)
National Settlement Depository (NSD), Russia
NAV (net asset value)
NCMs (non-clearing members)
negative correlation, securities financing
negotiating terms, securities financing
net asset value (NAV)
net settlement
new issuance
CBL
EB
nil paid rights (NPR)
NNAs (national numbering agencies)
nominal amount required, bonds
nominee account, holding securities
non-cash assets, reconciliation
non-cash collateral
non-cleared OTCDs
non-clearing members (NCMs)
non-life insurance
non-trading derivatives
non-treaty rate countries
nostro reconciliation
see also
cash reconciliation
novation
NPR (nil paid rights)
NSD (National Settlement Depository), Russia
NSE (national securities exchange)
numbering systems, data management
NYSE LIFFE futures contracts
OCC (options clearing corporation)
offer price, securities
omnibus account, holding securities
on demand securities
open derivatives contracts
open interest, ETDs
open loans
open market operations, central banks
open repos
open trade reconciliation
operational CCPs
operations office
see
back office
operations relationships
optional stock dividends
options
actions required
bond redemption
CME listing
FRAs vs.
futures comparison
pricing
risks
specifications
options clearing corporation (OCC)
ordinary shares
organisational structure, investment companies
organised trading facilities (OTFs)
OTC market
see
over-the-counter market
OTCDs
see
over-the-counter derivatives
OTFs
see
organised trading facilities
out-of-the-money (OTM) options
outgoing trade confirmations
output of trade, securities clearing
over-the-counter derivatives (OTCDs)
accounting lifecycle
amounts outstanding
clearing
CME listing
non-cleared
summary
trade repositories
over-the-counter (OTC) market
overnight DBV
owners' equity, accounting equation
ownership rules
ownership transfer, securities
ownership vs. location, reconciliation
PALs (provisional allotment letters)
pari passu
shares
partial settlement
passive management
payers, IRS
paying agents
payment
corporate actions
corporate banking services
coupons
reconciled account
statistics, CPSS
system deadlines, cash forecasting
payment date
pending items, cash forecasting
pension funds
perpetual FRNs
personal banking
see also
private banking
PFs (price factors), futures
physical settlement type
platform trading, derivatives
pooled account, holding securities
pooling market, securities
portfolio position approach, derivatives clearing
portfolios
choice
ETDs
European securities
reconciliation
revaluation
positions, reconciliation
positive correlation, securities
predictable events, corporate actions
predictive forecasting
see also
forecasting
preference shareholder relationships
preference shares
premium
bonds purchased at
options
premium-settled options
prescription period, fixed-income bond coupons
price factors (PFs), futures
pricing
bonds using yields
corporate actions impact
equity
futures
options
rights issue
securities
principal amount, bonds
principal intermediaries, securities financing
private banking
see also
personal banking
private wealth management
processing non-cleared OTCDs
processing problems, settlement failure
profit and loss, options
Profit and Loss Statement
project status, shorter-cycle settlement
property analogy, clearing houses
property tax
proprietary trading, investment banking
provisional allotment letters (PALs)
proxy voting
purchase funds
purchases
settlement
settlement failure
put options
quasi-sovereigns
real time gross settlement (RTGS)
rebate rate, securities
receipts, settlement failure
receive versus payment (RVP)
receivers, IRS
receiving agents, corporate actions
reclaiming tax
reconciliation
automation
back office
corporate actions
importance
methods
OTCDs
shares
types
worked examples
reconciliation risk
record date, corporate actions
records, event creation in
redemption
bonds
corporate actions
reference data
bonds
corporate actions impact
equity
importance
sources
types
reference rate, FRAs
reform requirements, derivatives
regional custody
registered CCPs
registered securities
regulated markets (RMs)
regulators, market regulators
regulatory changes, derivatives
regulatory oversight committee, GLEIS
regulatory reporting, securities
reinvestment rate, securities
relative value, managers
relayed links, CSDs
repayment calculation, money market instruments
replacement risk, corporate actions
repo desk
see also
repurchase agreements
reportable instruments, securities
reportable transactions, securities
reporting
corporate actions
derivatives
securities clearing
repository services
see also
trade repositories
repurchase agreements (repos)
collateral/margin
definition
Euro market
exposure
lifecycle
motivations
types
repurchases, corporate actions
reputational risk
required reference data
research, front office
reserve requirements, central banks
retail banking
retail clients
revaluation of securities
revenue securities
revenues protection, back office
reverse convertibles
reverse repos
rights issue
risk management
risk profiles, securities
risks
clearing house model
communication problems
corporate actions
derivatives usage
futures
options
RMs
see
regulated markets
rounding convention, OTCDs
routes to market, securities
RTGS (real time gross settlement)
Russian National Settlement Depository
RVP
see
receive versus payment
safekeeping
securities
summary of methods
see also
custody
sales
front office
registered securities
securities financing
settlement
settlement failure
see also
sell...
same-day affirmation (SDA)
SB-SEF (security-based SEF)
screen-based applications, EB
scrip dividend arbitrage
scrip options
SDA (same-day affirmation)
securities
accounting for
available for delivery
borrowing
CCP support
clearing
corporate actions
custody
data requirements
delivery
dematerialised form
derivatives distinction
financing
forecasting
forms of
holding securities
immobilised form
issuance
lending
municipalities
not available for delivery
purposes/time horizons
revaluation
reverse repos
settlement cycles
settlement types
T2S
transactions
transfers
see also
bonds; equity
securities depositories
historical context
settlement at
settlement failure
see also
central securities depositories
securities-driven repos
Securities Lending Services (ASLplus)
securities-related positions
securitised loans
security-based SEF (SB-SEF)
SEFs
see
swap execution facilities
segregated account, holding securities
sell/buy-backs
sell-outs
sell-side
Euro Market custody
intermediaries
securities financing
see also
sales
sellers, securities accounting
services offered, global custody
settlement
at a designated time
clearing house model
conventions
corporate actions impact
definition
derivatives
failure
information, data requirements
instruction types
location
management
overview
in real time
repos
securities
shorter cycles
statistics
types
settlement date, securities
settlement failure management
share register entries
shareholders
disclosure reporting
meetings
relationships
shares
classes
optional stock dividends
reconciliation
rights issue
scrip dividend arbitrage
value of
see also
equity
short call options
short coupons
short futures contracts
short positions, borrowing to cover
short put options
short selling, securities
shorter-cycle settlement
SI (systematic internaliser)
SIFIs (systemically important financial institutions)
simple interest calculation
Singapore
buy-ins
equity closing prices
regulatory authorities
single position approach, derivatives
sinking funds
software for reconciliation
sovereign borrowers, haircuts
sovereign wealth funds (SWFs)
SPAN
see
Standard Portfolio Analysis of Risk
special securities
see
on demand securities
specialist finance, corporate banking
speculation, derivatives usage
SSI (standing settlement instructions)
stamp duty
Standard Portfolio Analysis of Risk (SPAN)
standardisation, data management
standards implementation, corporate governance
standing settlement instructions (SSI)
statements
see
bank statements; financial statements
STF (stock transfer form)
stock dividends
stock exchanges
stock loans, OCC
stock options
stock transfer form (STF)
stockbrokers
stocks recorded in investor's name
straight bonds
street name securities
sub-custodians
subscription costs, rights issue
supervisory haircuts
suppliers/operations relationships
supranational agencies
swap execution facilities (SEFs)
SwapClear
swaps
see also
interest rate swaps
SWFs (sovereign wealth funds)
SWIFT message format
syndicated loans
systematic internaliser (SI)
systemic issues, settlement failure
systemically important financial institutions (SIFIs)
T2S (Target2Securities) models
“T-account” format
T-bills (treasury bills)
Target2Securities (T2S) models
tax reclaims
taxation
accounting need
corporate actions
equity instruments
investment companies
see also
withholding tax
technology vendors
temporary ownership transfer, securities
term DBV
term loans
term repos
theoretical ex-rights price (TERP)
third-party agents, securities financing
third-party custody providers
threshold, OTCDs
time schedule, proxy voting
time zones, cash forecasting
timing issues
cash forecasting
settlement
toll tax
trade affirmation, securities
trade allocation, securities
trade association websites
trade-by-trade reconciliation
trade capture
non-cleared OTCDs
securities clearing
trade confirmation
non-cleared OTCDs
securities clearing
trade date, securities
trade discrepancies' resolution
trade enrichment, securities
trade input, securities
trade lifecycles, market infrastructures
trade output, securities
trade reporting
trade repositories
trade tickets
trade validation, securities
traded position reconciliation
traders
trading
analysis of repos
front office
platforms for OTCDs
venue alternatives
volumes of ETDs
trading assets, definition
transaction tickets
transactional approach, data management
transactions
clearing instructions
CSDs
data management
depot reconciliation
ETDs
reporting
securities financing
settlement failure
transfers, securities
treasury bills (T-bills)
treasury deadlines, cash forecasting
treasury function, investment companies
treaty rate countries
tri-party contracts, repos
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