S&P Global Offerings
Featured Topics
Featured Products
Events
S&P Global Offerings
Featured Topics
Featured Products
Events
S&P Global Offerings
Featured Topics
Featured Products
Events
S&P Global Offerings
Featured Topics
Featured Products
Events
Corporations
Financial Institutions
Banking & Capital Markets
Economy & Finance
Energy Transition & Sustainability
Technology & Innovation
Podcasts & Newsletters
Corporations
Financial Institutions
Banking & Capital Markets
Economy & Finance
Energy Transition & Sustainability
Technology & Innovation
Podcasts & Newsletters
As the fixed income markets continue to develop from voice-driven communications and manual operational processes to more streamlined, interoperable platforms, our fixed income solutions are driving the electronification and automation of the marketplace.
We provide the fixed income market with open and interoperable solutions that increase efficiency and reduce operational risk, allowing deals to execute faster than ever before.
Our sellside products facilitate the execution of primary market transactions from origination to settlement workflows, allowing efficient collaboration between issuers, banks and investors.
Our products work seamlessly to provide market participants with a real-time electronic exchange of information between traders, investors and syndicate banks, covering the entire new issue lifecycle. Complementary data offerings provide the intelligence needed for successful engagement in the secondary markets.
Traditional market workflow is cumbersome and prone to error. With multiple parties involved and multiple deals running simultaneously, the new issue process can often be complicated, particularly for buyside traders coordinating the volume of deals, orders, and communications.
A suite of solutions for the buyside simplifies primary deal management with structured, easily consumable data, efficient integration, and a comprehensive audit trail to help with regulatory needs.
A centralized global primary fixed income issuance network shares electronic deal and order information in real time.
A shared, consolidated orderbook with reconciliation enables banks to price deals electronically in real-time so that even the largest deals are built and priced the same day.
An automated bookbuild process and easier reconciliation reduces errors, while faster execution means less exposure to market movements.
A digitized workflow is easy to capture, track, and share, and provides a detailed audit trail to help banks comply more easily with increasing regulatory demands.
A digital workflow handles new regulations such as MiFID II and supports detailed audit trails that allow banks to comply with regulatory demands.
API connectivity and open interoperability allow banks and investors to connect to other systems, including CRMs for investor data or trade processing systems.
A unique network of member banks linked by web-based technology synchronizes deal and order book information between syndicate desks.
Ensure that banks and other parties can set up deals and communicate terms in real-time to sales, other banks and investors in a compliant format.
Streamline and centralize book building from origination to settlement for the fixed income new issuance process.
For corporate management teams and investment bankers, IssuerView provides real-time access to data and documents during live marketed transactions.
This centralized, auditable communication platform assists the bank and all underwriters to complete Japanese retention deals.
Facilitate communication of orders for the primary market between buyside portfolio managers and traders directly via their OMS provider.
For buyside investors: View, interact, order and receive allocations via a web portal with new issues available in the market.
Monitoring of primary market activity conducted by traders and portfolio managers.
Communication of orders between buyside portfolio managers and traders directly via DealMonitor.
Consume deal data internally
Order placement via FIX for OMS, EMS, & Proprietary Built Systems
Execute deals more efficiently with an end-to-end execution platform for the equity primary issuance process that manages all facets of the deal lifecycle.
Get efficient workflows, comprehensive content and analytics to support the municipal bond issuance process and facilitate all interactions for the buyside and sellside in the municipal capital markets.
You're one step closer to unlocking our suite of financial information solutions and services.
Fill out the form so we can connect you to the right person.
We're proud of our recent awards!
And, we delight in supporting our customers with 24x7x365 customer service and a 98% customer service satisfaction rate.
If your company has a current subscription with S&P Global Market Intelligence, you can register as a new user for access to the platform(s) covered by your license at S&P Capital IQ Pro or S&P Capital IQ