Tighter regulation and a sharper focus on execution costs have made market liquidity measures an increasingly vital part of firms’ decision making processes. Yet a lack of transparency in many markets makes evaluating liquidity a challenge — particularly in OTC markets that lack consistent data sources and consolidated metrics. Firms must calculate, classify and manage market liquidity risk, and implement stress tests based on the scenarios outlined by a whole host of guidelines.
Bloomberg’s flexible liquidity solutions enable you to quantitatively evaluate market liquidity across multiple asset classes – including:
Liquidity insight where and when you need it
Bloomberg liquidity solutions help inform pre- and post-trade decision making — delivering value across the enterprise and the entire trade lifecycle. With broad asset class coverage, we support your firm in a wide variety of tasks and use cases:
Monitoring liquidity risk limits