- Securities finance impacts from Japan’s recession, buy-side mergers and UMR collateral demand (Premium);
- Banks seek fintech advantages amid evolving competitive landscape (Premium);
- Open market operations, QE or the discount window, it’s still large-scale Fed repo liquidity provision;
- European primary dealer decline and the problem of negative EU interest rates (Premium)
As well as company, product, and market announcements from February 14 to February 21 2020.