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Dan Barnes

Dan Barnes

dan.barnes@fi-desk.com

The Editorial Director at Markets Media Europe, Dan strives to become an integral part of traders’ networks by ensuring they are informed and helped by the information we deliver. Dan wrote the world’s first article on predatory trading algorithms in 2004, and has won multiple State Street ‘Journalist of the Year’ awards in several categories. In his spare time, Dan makes longbows.

Governance key to EU consolidated bond tape's success

The International Capital Markets Association (ICMA) has published a report outlining the possible routes to delivering a successful consolidated tape of price data of ...

BlackRock’s Rieder: Fed will buy at least $1.5 trillion in Treasuries in 2020

Rick Rieder, Chief Investment Officer of Global Fixed Income, BlackRock

ICE consolidates access to ICE Bonds and ICE Data Services

Market operator Intercontinental Exchange (ICE), has launched ‘ICE Select’ an application which provides connectivity to the ICE Fixed Income ecosystem, including the ...

ICMA: Buy side struggled to make margin calls as repo dried up

A new report, ‘European repo market and the COVID-19 crisis’ published by the International Capital Markets Association, has found that some buy-side firms had ...

The Fed and BlackRock's bond-buying criteria challenged

Detail around the Primary Market Corporate Credit Facility (PMCCF) and Secondary Market Corporate Credit Facility (SMCCF) launched by the Federal Reserve Bank of New ...

Odd-lot bond case alleges pressure on Bloomberg and collusion

In the US Southern District Court of New York, a class-action lawsuit has been brought against a group of banks, alleging that since 1 August 2006, they have “agreed to ...

Not fighting the Fed on high yield flow

High yield bonds have seen electronic trading in the US increase, with liquidity enhanced by the Federal Reserve’s announcement on 9 April that it would buy into ‘fallen ...

Study finds 21% of buy-side lost access to tradable instruments in crisis

A new ‘Derivatives Insight Report’ by analyst firm Acuiti has found that 21% of buy-side firms, including proprietary trading firms and asset managers, suffered a ...

Report: Buy-side traders often still seen as ‘trading support’

A new report by Liquidnet entitled ‘Unbundling Best Execution: What do traders need to know?’ has found that while most buy-side trading desks are now seen as a ...

Messaging tools spike as remote trading takes off

Providers of messaging tools used by portfolio managers, buy-side traders, sales traders and sell-side dealers have seen volumes spike as remote working becomes a ...

RBC hires Sayers from Citi to lead HY sales

Joe Sayers has joined RBC Capital Markets from Citi as head of high yield and loan sales, based in London and reporting to Janet Wilkinson, head of fixed income and ...

EM in ‘limbo’ provides trading and pricing challenges

Emerging market bond funds have seen outflows continue to slow significantly, with Morgan Stanley’s analysts estimating it at US$1.8 billion, equating to about 0.42% of ...

Liquidnet reports 57% jump in bond liquidity during volatile markets

Liquidnet has reported that the recent volatility led to an increase in bond trading volumes on the all-to-all block trading platform.

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