Case Study
A leading asset management firm based in Dublin, overseeing €35 billion fixed income assets, faced significant challenges due to fragmented data sources, increasing issuance volumes, and operational inefficiencies in their primary bond market activities. The firm’s existing tools for secondary market trading were not integrated with their primary market processing, leading to delays and increased operational risk.
To address these issues, the firm sought a scalable solution that could integrate with their existing order management system and support electronic order routing. Partnering with S&P Global Market Intelligence, they developed a fully integrated workflow that automated the entire lifecycle from order staging to final allocation delivery.
The seamless integration allowed the firm to scale their issuance activity without increasing headcount, positioning them to keep pace with the fast-moving primary markets and better serve their clients.
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In today's fast-paced primary bond market, a leading Ireland-based asset management firm managing €35 billion in fixed income assets faced challenges with fragmented data and operational inefficiencies. By working with S&P Global Market Intelligence, they implemented a scalable, integrated solution that automated the entire order lifecycle, enabling them to enhance issuance activities without increasing headcount. This transformation positioned the firm to better serve clients and adapt to the rapidly changing market landscape.