7th July, 2022
All the insights and latest trends into this key regional market are available to download in this exclusive guide.
The Asia Pacific region is also being impacted by current market dynamics, and the securities finance space has not been immune to change. Liquidity and collateral management, innovation, ESG integration and repo: all these areas have seen developments and challenges in the past year.
The 2022 edition of our Asia Pacific Securities Finance Guide explores what the current challenges and opportunities are in the areas, and paints a picture of some of the regional trends we are seeing in China, Singapore, Australia, Hong King SAR and South Korea.
With thanks to BNP Paribas Securities Service and J.P. Morgan for their unique insights, and to ASIFMA, BNY Mellon, Broadridge, Clearstream, Equilend, eSecLending, HSBC, PASLA, Standard Chartered and State Street for their contributions.
Download a copy of the latest guide here or head to our Whitepaper section to find out more.
17th April, 2026
While the US options market has witnessed unprecedented growth over the past two decades, structural issues such as concentrated liquidity in a handful of active contracts, the dominance of market makers and wider spreads in less liquid options persist, according to the Securities and Exchange Commission (SEC).
Narayani Srinivasan

17th April, 2026
The European Energy Exchange (EEX) has launched a market making tender for its LVA–EST natural gas futures as it looks to deepen liquidity in the Baltic gas derivatives market.
Zak Jakubowski

17th April, 2026
The current geopolitical situation emerged as the main concern for corporate treasurers, who in response are adopting a more defensive strategy by increasing allocations for money market funds, a recent survey concluded.
Narayani Srinivasan
