The Capital Markets Guide 2011 (163 pages)

Focusing on technological innovation, business strategy and geographical markets, this guide provides thought leadership on how capital markets firms can capitalize on real-time data and leverage new risk strategies for a trading advantage.  

When Bank of America’s assets reached $2.3 trillion—ten times more than Exxon Mobil— The Economist noted that managing such a huge portfolio may be “beyond the ken of mere mortals.” Capital markets firms should return to playing offense, focusing on innovation and growth, but pursue these goals with the requisite competence.

A technology foundation is the best way to control the ever-growing amounts of data flowing within your firm’s operations. Build state-of-the-art data mining and analytical tools on that foundation to answer the right questions, at the right time and for the right people—all in the right form

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  • Managing risk is beyond data from this companies but the strenght of the policymakers in that institute that matters. trading on this companies will demand for more time on continued evalution to relate performance with price.

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