Fixed Income & FX Leader Summit APAC 2019

17 - 19 September, 2019

The Westin, Singapore

65 6722 9455

Ambarish Ray

Fixed Income Trader, Rates & FX Asia
T Rowe Price

Check out the incredible speaker line-up to see who will be joining Ambarish.

Download The Latest Agenda

Buy Side Only Platform Evaluation Day - Tuesday, September 17th 2019

Tuesday, September 17th, 2019

1:10 PM Buy Side Perspective: Prepare your check-list - What questions should you be asking to fully recognise the pros and cons of each initiative?

-          The use of technology to enhance the investment process: Research, trading and quantitative analysis – What’s at the top of your agenda?
-          Can existing technologies used for trading in other asset classes apply to bonds? What are the transferable technologies that you need?
-          The platform paradigm- How can you establish which initiative you should be supporting and why?
-          When evaluating platforms, what are the key areas you should be testing and looking out for?
-          What different platform models can help you prosper in a new electronic environment?
-          How can you establish what platform is best suited to fit into your current workflow?

Day 1 - Wednesday 18th September 2019

Wednesday, September 18th, 2019

4:10 PM All Star Panel: Achieving best execution – How can you use using new pools of data to improve your pre-trade, execution and post-trade capabilities?

In Asia, a region where fragmentation reigns — with a salad of disparate rules, fiscal priorities and benchmarks, plus differing levels of electronic-trading adoption and market maturity — the development of best execution is being driven by more than just compliance considerations. Here we look at the different ways that transaction-cost analysis (TCA), a key component of ensuring best execution, is being applied to help cut costs, retain clients, and streamline workflows across Asia.
-          Harvesting data - How can you best collect, store and package data in a way that it is easily accessible for your traders?
-          Pre-trade market data, post trade data and public data- How can you bring this all together to make more informed trading decisions?
-          Audit trails - What data do you need to ensure you are meeting and proving your best execution requirements to regulators?
-          Intelligent execution- How can you utilise new data sources and electronic trading data to decide your best execution path?

Day 2 - Thursday, September 19th 2019

Thursday, September 19th, 2019