Ulla Nilsson was founder and Global Head of SEB Futures, the FCM of Swedish bank Skandinaviska Enskilda Banken, from 1993 to 2010, one of only a small number of women to have run FCMs. While based in London, the business included sales broking desks in Frankfurt and Helsinki.
CONTINUE READINGStarting as an options clerk-trainee at O’Connor in 1984, Margery Teller spent over 20 years on the floor of the Chicago Mercantile Exchange, where she rose to prominence as the pit’s largest back-month Eurodollar trader.
CONTINUE READINGMary Ann’s relationship with FIA began when she was hired to help with the first FIA Expo held on the CME floor 32 years ago.
CONTINUE READINGWilliam Eckhardt is the Chairman and CEO of Eckhardt Trading Company. He has traded futures professionally for over 40 years, beginning on the floor of the Mid America Commodity Exchange in 1974.
CONTINUE READINGYoshio Kuno was at the forefront of the development of financial derivatives in Japan, with a diverse career as an end-user of derivatives as well as working for FCMs and exchanges and serving as an industry champion throughout the development of futures markets in the country.
CONTINUE READINGLast year, Dan Roth announced his plans to retire after 13 years as President and Chief Executive Officer of National Futures Association (NFA), the independent self-regulatory organization, providing regulatory programs that safeguard the integrity of the derivatives market. Dan joined NFA in September 1983 as an Attorney and has held a number of positions with increasing responsibilities, including General Counsel, Executive Vice President and Chief Operating Officer. During the past 30 years at NFA, Dan has led the organization on major rulemaking and enforcement initiatives, including strengthened anti-fraud rules that have led to a dramatic drop in customer complaints in the U.S. futures industry. He has developed strong working relationships with international regulators, law enforcement agencies and members of the congressional committees that legislate the financial services industry. Prior to coming to NFA, Dan served as Assistant State's Attorney in the Cook County State's Attorney's Office where he was a member of the Official Misconduct Task Force of the Special Prosecutions Bureau. Prior to that, he was an Associate Attorney in general litigation with the law firm of Sidley & Austin. Dan holds a law degree from Loyola School of Law and earned his Bachelor of Arts degree in Communication Arts from the University of Notre Dame. He has served as an adjunct professor at the Loyola School of Law and has authored numerous articles for futures industry publications.
CONTINUE READINGWally Weisenborn was a leading figure in the Chicago futures trading community for more than two decades before his retirement in 2000. He began his career at Harris Bank in 1953 and worked there for more than 25 years
CONTINUE READINGThe futures brokerage business is in Bob Collins’ blood. The Co-founder and Principal of independent FCM Rosenthal Collins, Bob joined Greene & Collins in 1961 - the family business co-founded nearly forty years earlier at the Chicago Board of Trade by his father John F. Collins.
CONTINUE READINGTom Hammond has spent nearly 40 years in the futures industry including more than 30 years at clearing houses. He spent the past 10 years as President of ICE Clear US and is currently focusing on global clearing strategy as he prepares to transition into retirement in June of 2017.
CONTINUE READINGRosemary McFadden began her Wall Street career as a staff attorney at the New York Mercantile Exchange (Nymex), was promoted to Executive Vice President after one year and in the following year was elected President by the Board of Directors, becoming the first woman President of any stock or futures exchange in the United States.
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