"I have found Journal of Airport Management to be an incredibly professional and leading-edge journal which finds and addresses the key areas of interest and importance to the aviation industry in general and the airport operator specifically. The themes, cases studies and areas investigated and researched by the journal's writers are of a high quality and professionalism allowing me as an industry participant to continually learn and improve. I strongly support and recommend the journal to anyone within or interested in the aviation industry as an essential tool in assisting you to improve your own knowledge and performance."
Volume 3, 2010-11
Each volume of Journal of Securities Operations & Custody consists of four quarterly 100-page issues. The articles published in Volume 3 were:
Volume Three, Number Four
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How can we improve the use and effectiveness of loss data?
Robert Huebner, Deputy Head, Operational Risk Management, Deutsche Bank -
Trade matching in the traditional and alternative markets
Holly H. Miller, Partner, Stone House Consulting -
Investigating partnerships with local players: Build, buy or partner?
Toyin Sanni, CEO Trustees/Global Investor Services, United Bank for Africa -
Using a data warehouse to improve risk, performance, reporting and compliance
Tom Stock, SVP, Product Management, GoldenSource -
Regulatory intrusion: Is regulation becoming impossible to manage?
Peter Richards-Carpenter, Senior Counsel, Fried, Frank, Harris, Shriver & Jacobson -
The MiFID metamorphosis: A new paradigm for market structure
Karel Lannoo, Chief Executive and Diego Valiante, Research Fellow, Centre for European Policy Studies -
Opting out of securities class actions: Why wait?
Nick N. Goseland, Attorney
Volume Three, Number Three
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Operations and settlement risk in extreme market conditions
Sergio Scandizzo, Head, Operational Risk Section, European Investment Bank -
The impact of Target 2 Securities on sub-custodians
Janne Palvalin, Manager, Nordea Securities Services -
The great risk vs. compensation debate
Andrew Rand, SVP and Head of Network Management, Brown Brothers Harriman -
The road to risk-based supervision: Lessons from Chile
Jeanne Balcom, Senior Director and Nileema Pargaonker, Director, FINRA -
Direct overseas listing of Chinese enterprises: A clear regulatory framework and explicit regulatory requirements are needed
Liu Yi, Overseas Listing Project Officer, China Securities Regulatory Commission -
Custodial operations in Malta: Current opportunities
Max Ganado, Managing Partner, Ganado & Associates -
New OTC derivatives regulation and the future of the derivatives industry
Carlo de Meijer, Senior Researcher, Market Infrastructures, GTS and John Wilson, Managing Director & Global Head, OTC Derivatives Clearing, RBS
Volume Three, Number Two
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Optimising the cost equation in securities clearing, settlement and custody
Venkatesh Rathnam, Global Head, Securities Services Operations, Standard Chartered Bank -
Automating the OTC derivative collateral management function
Thomas Ciulla, Senior Manager, Daniel Bloom and Justin Ages, Finance Operations & Controls Transformation, Deloitte & Touche -
Mutual fund omnibus processing: A way to increase revenues and improve the client experience
Craig Kolzow, President, Conferre Solutions -
Reviewing your organisation’s approach to data management
Rick Enfield, Product Business Owner, Asset Control -
Web development and e-servicing: Are your investments paying off?
Kristyn Harmon, VP, PWI Online Channels, Fidelity Investments and George Moriarty, Editor-in-Chief for Online Platforms, Merrill Lynch Global Wealth Management -
Customisation, automation, globalisation: How should you respond to these drivers?
Peter Ellis, Managing Director, Investit -
Brokers are fiduciaries - now what? The new US federal fiduciary best interest of the customer standard of care and its impact on existing FINRA regulation of wrap accounts
Daniel Miller, Founder, Miller Fiduciary Law Group and Eugene F. Maloney, Senior Corporate Counsel, Federated Investors -
Responding to stepped-up FCPA enforcement
Lucinda A. Low, Partner and Owen Bonheimer, Associate, Steptoe & Johnson
Volume Three Number One
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How to succeed in the post-trade industry in the new financial landscape: Reducing risk, costs and getting closer to customers
Rob Scott, Managing Director, Global Head of Securities Clearing and Finance, Deutsche Bank -
What progress is being made to accelerate interoperability and how can standards help increase transparency and reduce risk?
Irene Mermigidis, SVP, Product Management, Clearstream Banking -
Managing risk in a changing environment
Peter Kelly, Director, Fixed Income Product Management, DTCC -
Developing world-class operations staff
Martyn Cuff, Managing Director, Allianz Global Investors -
MiFID II and EMIL: The impact of regulation on securities operations in European markets
Chris Pickles, Head of Marketing, Financial Markets & Wholesale Banking, BT Global Financial Services -
Building a business case for cross-border trading
Mike Randall, Product Manager, Global Processing, Thomson Reuters -
Are we facing European CCP interoperability regulation?
Carlo de Meijer, Senior Researcher, Market Infrastructures, RBS -
Trends in OTC derivatives
Corby Angle, Solution Partner, EMC Consulting