ProductsTradingPost-Trade ServicesTransaction Cost Analysis (BTCA)

Transaction Cost Analysis

Multi-asset class coverage

Prove best execution across fixed income, equities, foreign exchange, crypto, listed and OTC derivatives, using Bloomberg’s range of pricing data.

Data throughout the lifecycle

View TCA across the full lifecycle of the trade, from pre-trade through Bloomberg’s Electronic Trading solutions all the way to post-trade reporting.

Compliance tailored to your needs

Achieve robust and comprehensive trade surveillance utilizing the flexible rules engine that can be configured to identify and manage a wide variety of compliance scenarios.

Front office

Whether on the buy-side or sell-side, you can verify execution quality across an exhaustive list of benchmarks to evaluate your methods of execution from high-touch to more complex algorithmic trading. BTCA provides the flexibility to start from a high-level view of trading activity, drilling down into transactional data.

Best execution

Whether global firms are adopting Best Execution frameworks or supporting regulations such as MiFID II, FINRA 5310, among others, BTCA has you covered. BTCA assists in regulatory compliance or fiduciary responsibilities, to provide transparency to demonstrate efficiency in specific strategies.

Compliance

Exception-based workflow provides fully automated surveillance of trading activity across asset classes. BTCA provides an operational framework to support the four critical steps of identification, investigation, determination, and analysis, delivering comprehensive market abuse, suspicious transaction and unusual behavior monitoring.

Data science

Analyze your TCA data in your own cloud environment via a variety of programming languages including Python through the Bloomberg API. Furthermore, your data is accessible through the Bloomberg Query Language (BQL) and integration into 3rd Party Business Intelligence tools like PowerBI.

Ease of integration

BTCA provides the common architecture for data ingestion whether you use Bloomberg’s electronic trading solutions or leveraging an alternative third-party execution management system (EMS) or an order management system (OMS).

Compare with peers

Comparing absolute performance with peers in the same trading scenario is essential. A large or difficult order is tough to trade and will likely incur slippage, but in doing so, how can you know if it under-or outperformed others in comparison? BTCA can assist.

Fixed Income & FX

Equities

Listed derivatives

OTC derivatives

Buy-Side equity trading costs ease through 2022

Execution quality of institutional equity trades improved 17.4% over seven months, based on new data aggregated from over 350 BTCA (Bloomberg Trade Cost Analysis) buy-side clients, measuring effective executions against the mid-price at the time of order arrival.

WhiteOak Capital Asset Management adopts Bloomberg BTCA

The adoption of BTCA provides WhiteOak Capital with robust transaction cost analysis when combining their trade data with the breadth of Bloomberg’s global market data across a wide range of trading benchmarks and asset classes. In addition, it offers powerful trading insights that help to ensure best execution at the best price.

Occam’s Razor for Bond Trade Costs

Occam’s Razor for Bond Trade Costs is the new research paper from Bloomberg’s Vlad Rashkovich and Andrei Iogansen, now published in The Journal of Fixed Income. The paper provides insights into the latest developments in transaction cost analysis, and the impact trading quant models can have on fixed income performance.

Reducing time to market

Using Bloomberg’s Enterprise Product solutions, Baader Bank enhanced the execution performance of their buy-side desk through the seamless adoption of automation and TCA capabilities.

MiCA renews sense of urgency for new crypto transaction analysis tools

Cryptocurrency markets have evolved and have garnered increased institutional interest, especially over the last two years. What was initially interest from Private Banking, Family offices and select Hedge funds has now morphed into broader participation from larger hedge funds, ETF issuers and more traditional buyside and sellside customers.

TOMS

Bloomberg Trade Order Management Solutions (TOMS) provides fixed income sell-side firms the capabilities to efficiently manage inventory, risk, P&L, compliance and straight-through processing.

AIM

For buy-side firms, Bloomberg AIM delivers global, multi-asset solutions for portfolio management, trading, compliance and operations.

MTF

Bloomberg Trading Facility Limited’s multilateral trading facility, BMTF, is a robust trading platform for trading cash bonds, repos, credit default swaps (“CDS”), interest rate swaps (“IRS”), exchange-traded funds (“ETF”), equity derivatives and foreign exchange derivatives (“FX”).

MARS

Bloomberg’s Multi-Asset Risk System (MARS) uses consistent pricing and risk data to model every deal in your portfolio, giving you an accurate picture of hedging dynamics at the portfolio level and ensuring that you don’t underestimate or overestimate your risk.

RHUB

Our global, cross-asset, multi-regulation solutions fulfill the needs of firms across all markets, including buy-side, sell-side and market infrastructure providers. Bloomberg’s Regulatory Reporting Services can be easily integrated into any firm’s workflows, via standard APIs or with Bloomberg’s own order management, execution and confirmation solutions.

VAULT

Bloomberg Vault is an integrated compliance and surveillance solution designed to help global financial services firms meet their regulatory obligations and business standards.

Electronification is changing the trading landscape as we know it. Get tools that fit the way you trade.

Bloomberg Post-Trade Products

From reconciliation, collateral management, trade settlement and connectivity to custody, admin and accounting workflows, Bloomberg helps streamline complex processes, reduce risk and lower costs.

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Regulatory Reporting

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