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Gaspard Bonin Gaspard has been leading the Derivatives Execution and Clearing business of BNP Paribas since 2015. Prior to that he was partner of a consulting firm in financial markets, after starting his career as a structurer of credit derivatives. |
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Maylis Dubarry Maylis Dubarry is currently Global Co-Head of Prime Services Products at Societe Generale. Maylis joined SG Group in 2004, after two years at Deloitte Consulting. She worked first in Lyxor and then in SG Equity Derivatives Division, developing new products and innovative investment solutions, in particular for Structured Products business. She has held different management positions, before taking the lead on the integration of Commerzbank's Equity Market & Commodities activities. She joined Prime Business perimeter 3 years ago. |
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Marc Giannoccaro Marc Giannoccaro started his career as a management consultant where he rapidly specialised on the financial industry, focusing on market infrastructure questions he notably steered the merger of Paris, Brussels and Amsterdam clearing houses to create Clearnet. After 10 years in consulting, Marc joined Carr Futures where he oversaw the development of the clearing business in Europe and later handled the merger with Fimat, which led to the creation of Newedge. In 2012 Marc joined CACEIS to create a new brokerage activity for CA Group, with clearing and execution services. Since 2021 is the Head of Clearing Sales for Continental Europe at Marex. |
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Stéphane Janin Stéphane heads up AXA IM’s Global Regulatory Developments and Public Affairs directorate at worldwide level.
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Christiane Leuthier Christiane Leuthier is the Vice President of Commodities at FIA and has been with FIA since 2014. Christiane’s responsibilities include addressing regulatory policy issues that impact the commodity markets and providing a platform for member firms to discuss concerns in monthly Metals and Energy & Emissions Working Groups. Christiane is engaging with the industry, political and regulatory authorities. Prior to joining FIA, she worked in the legal departments of Barclays and Société Générale, and started her career in private practice. Christiane is a qualified solicitor in England & Wales and a German lawyer. |
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Walt Lukken Walt Lukken is President and Chief Executive Officer of FIA, the leading global trade organization for the futures, options and centrally cleared derivatives markets worldwide with offices in Brussels, London, Singapore and Washington, DC. FIA’s membership includes clearing firms, exchanges, clearinghouses, trading firms and commodities specialists from nearly 50 countries as well as technology vendors, lawyers and other professionals serving the industry. FIA’s mission is to support open, transparent and competitive markets, protect and enhance the integrity of the financial system, and promote high standards of professional conduct. As the principal members of derivatives clearinghouses worldwide, FIA’s member firms play a critical role in the reduction of systemic risk in global financial markets. Before joining FIA in 2012, Mr. Lukken was Chief Executive Officer of New York Portfolio Clearing, the capital-efficient derivatives clearinghouse jointly owned by NYSE Euronext and the Depository Trust and Clearing Corp. Under his leadership, NYPC successfully launched its “one-pot” margining of interest rate futures cleared by NYPC with fixed income cash positions cleared by DTCC’s Fixed Income Clearing Corporation. Futures and Options World awarded NYPC’s advancement its 2011 “Best Innovation by a Clearinghouse, North America.” Prior to this role, he was Senior Vice President in the Office of the General Counsel for NYSE Euronext and served on the LIFFE Board of Directors. Mr. Lukken served as Acting Chairman of the Commodity Futures Trading Commission for 18 months from June 2007 to January 2009, a period that included the financial crisis, and as CFTC Commissioner from 2002 to 2009. In this role, he testified numerous times before Congress and served on the President’s Working Group on Financial Markets with Treasury Secretary Hank Paulson, Federal Reserve Chairman Ben Bernanke and Securities and Exchange Commission Chairman Christopher Cox. He represented the CFTC before international organizations and forums, including the International Organization of Securities Commissions. From 2003 to 2008, Mr. Lukken served as Chairman of the CFTC’s Global Markets Advisory Committee—an industry-comprised body that advises the Commission on issues affecting cross-border regulation and markets. Prior to joining the CFTC, Mr. Lukken served for five years as counsel on the professional staff of the U.S. Senate Agriculture Committee under Chairman Richard Lugar. He specialized in derivatives markets and was prominently involved with the passage of the Commodity Futures Modernization Act of 2000. Mr. Lukken holds a B.S. degree with honors from the Kelley School of Business at Indiana University and his Juris Doctor degree from Lewis and Clark Law School in Portland, Oregon. Mr. Lukken lives in Washington, DC, with his wife and three children.
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Sébastien Raspiller Sébastien Raspiller was previously head of the Insurance Markets and Products Unit (2009-2012) and of the Corporate Financing Unit at the Directorate-General of the Treasury (2012-2013), where he also served as General Secretary of the Interministerial Committee for Industrial Restructuring. He was appointed deputy assistant secretary in 2013 (until 2018), in charge of Financial Markets and Corporate Financing.
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Bruce Savage Bruce is the Head of FIA in Europe, which is the leading global trade organisation for the futures, options and centrally cleared derivatives markets, with offices in London, Brussels, Washington and Singapore. Bruce joined FIA in August 2019 and previously worked at Deutsche Bank for 21 years in a variety of front office roles, most recently as the Head of Regulatory Affairs and Market Structure in the Listed Derivatives and Markets Clearing business. Bruce also served on the FIA Board and European Regional Advisory Board as the Deutsche Bank representative. Before joining Deutsche Bank, Bruce worked for the London International Financial Futures and Options Exchange (LIFFE) in the Market Supervision department for 4 years. He received his Law Degree (LLB Honours) and Diploma in Legal Practice from Dundee University, Scotland. He is based in London. |
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Corinna Schempp Corinna Schempp is FIA’s Head of EU Policy & Regulation, responsible for developing and implementing the association's political and regulatory engagement strategy in the EU and UK in close coordination with FIA senior policy staff. Leading FIA's Brussels office, she is also involved in evaluating pending legislation, surveying the impact of legislation on the organisation and its membership and developing responses to legislation. Schempp joined FIA in September 2014 from LCH.Clearnet Limited where she was a Senior Regulatory Advisor in the Compliance & Regulation team. Prior to joining LCH.Clearnet in May 2011, Schempp was the Legal and Regulation Manager at EDX London, a derivatives exchange and joint venture between the London Stock Exchange and Sweden’s OMX AB. Schempp is a dual qualified lawyer, holding a post-graduate diploma in European Union law from King's College London, as well as law degrees from Germany and the UK. |
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