MarketAxess Holdings, Inc.

MarketAxess Holdings, Inc.

MarketAxess Holdings, Inc.

Overview
Date Founded

2000

Headquarters

299 PARK AVENUE, 10TH FLOOR, NEW YORK, NY, 10171

Type of Company

Public

Employees (Worldwide)

454

Industries

Investment Banking & Brokerage
Investment Services & Portfolio Management
Computer Software

Company Description

MarketAxess brings over 10 years of unparalleled trading, market data and technology innovation to the global institutional credit markets. Electronic Credit Trading MarketAxess was formed in April of 2000 in response to investors' need for a single trading platform with easy access to multi-dealer competitive pricing in a wide range of credit products. MarketAxess has since expanded and deepened its trading network with North America's premier institutional investors, which include investment advisers, mutual funds, insurance companies, public and private pension funds, bank portfolios and hedge funds, and leading broker-dealers, both primary dealers and regional firms. MarketAxess offers dealers significant presence in secondary markets, providing a broad base of credit securities and deep pool of liquidity for our institutional investor clients. The U.S. trading system supports fully-disclosed electronic trading in high-grade corporate bonds, high yield/crossover bonds, emerging markets bonds, U.S. agency securities, structured products, preferred stock and credit default swaps (CDS). MarketAxess Europe Limited, the wholly-owned U.K. subsidiary of MarketAxess Holdings Inc., operates in London and first launched European secondary trading in U.S. dollar and Euro-denominated Eurobonds in 2001. Since then, the platform has added trading in other European credit products including bonds issued in Pounds, Sterling, and floating rate notes (FRNs) and has since successfully expanded into sovereigns, supras, agency and covered bonds. MarketAxess Europe Limited was the first platform in Europe to offer this capability for corporate bonds. As of 2006, European institutional clients can access U.S. credit liquidity, provided they have established trading relationships with U.S. dealers. In 2010, MarketAxess expanded its credit trading platform to include institutional investors in the Asia Pacific region. Central banks, sovereign wealth funds, pension funds and asset and wealth managers are able to trade U.S. and European corporate bonds, Asian credits, emerging markets bonds and CDS with MarketAxess' global network of broker dealers. MarketAxess is a Recognized Market Operator in Singapore and an Authorized Automated Trading Service in Hong Kong. MarketAxess maintains its headquarters in New York and has offices in London, Chicago and Salt Lake City, Hong Kong and Singapore

Contact Data
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Executives & Employees

President & Chief Operating Officer

Chief Financial Officer

Chief Financial Officer

Secretary & General Counsel

Global Chief Risk Officer

Chief Information Officer

Head of Human Resources

Head-Open Trading Product Manager

Global Head of Sales

Board of Directors

Founder at MarketAxess Holdings, Inc.

President & Chief Operating Officer at MarketAxess Holdings, Inc.

Co-Founder at KLS Diversified Asset Management LP

Co-Head, Global Banking at JPMorgan Chase & Co.

Co-Founder at Trewtec, Inc.

Professional at MarketAxess Holdings, Inc.

Professional at Virtu Financial, Inc.

Professional at MarketAxess Holdings, Inc.

Co-Founder at Flexpoint Ford LLC

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MarketAxess Holdings, Inc.
Owners & Shareholders
Details Hidden

Kayne Anderson Rudnick Investment Management is a registered investment advisor based in Los Angeles, California with approximately $7 billion in assets under management. Our clients include affluent individuals, endowments, foundations, corporations, public funds, and pension plans for who it manages a range of portfolios having a common disciplined, high-quality investment philosophy

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RBC GAM-UK employs fundamental analysis and quantitative analysis. Individual portfolio managers may emphasize one method of security analysis over another in providing investment management services to discretionary clients and recommendations to nondiscretionary clients. The firm's investment teams are responsible for researching investment opportunities, and implementing their findings and views on specific issuers in the management of clients' portfolios. RBC GAM-UK employs various investment strategies through our investment mandates that are based on the objectives and strategies of the clients involved. Client portfolios with similar investment mandates, strategies and guidelines are generally managed similarly. Their investment management teams continuously research available investment opportunities using fundamental and quantitative methods, including environmental, social and governance (ESG) factors. The portfolio managers consider the investment opportunities available and make an active investment decision focusing on each client account's needs, as reflected in each account's governing documents.

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Ownership Capital is a fundamental, long-term equity investment manager that combines active engagement with ESG integration to achieve superior returns. The firm's mission is to invest on a multi-decade time horizon and provide sustainable returns that allow its long-term clients to comfortably meet their long-term obligations. They invest and engage with a ten-year investment horizon, which they believe is unique among public equity managers. Ownership Capital create value by identifying high-quality companies and engaging directly with them to encourage long-termism, strong corporate governance and sustainability leadership. Their portfolio is comprised of 20-25 high-quality companies. This focused approach allows them to gain a deeper understanding of investee companies and engage with some of the world's leading management teams. Ownership Capital help pension funds and endowments meet their fiduciary responsibility to act in the long-term interests of their beneficiaries and invest across generations by engaging with the companies they own to enhance their long-term success.

Recent Transactions
Details Hidden

MarketAxess Holdings, Inc. purchases Xtrakter Ltd. from Euroclear Plc

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MarketAxess Holdings, Inc. issued Common stock

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MarketAxess Holdings, Inc. issued Common Stock

Insider Transactions
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Transaction Advisors
Underwriter

Advised onMarketAxess Holdings, Inc. issued Common stock

Investment Advisor

Advised onMarketAxess Holdings, Inc. purchases Xtrakter Ltd. from Euroclear Plc

Auditor

Advised onMarketAxess Holdings, Inc. issued Common stock

Legal Advisor

Advised onMarketAxess Holdings, Inc. issued Common Stock

Legal Advisor

Advised onMarketAxess Holdings, Inc. issued Common Stock

Professional

Advised onMarketAxess Holdings, Inc. issued Common stock

Advisors & Consultants
Publicist

Professional at Bryant Park Financial Communications

Clients

CalSTRS is administered by a 12-member Teachers' Retirement Board. Their Investment Committee's objectives are set forth in the California Constitution and the California Education Code. The Teachers Retirement Fund is a special trust fund established by law that holds the assets of the following programs: Defined Benefit, Defined Benefit Supplement and Cash Balance Benefit. The assets come from contributions by members, employing school districts and the State of California. The funds investments create a stream of income to add to those assets. The CalSTRS portfolio has broadly diversified holdings in seven categories: Global Equity, Fixed Income, Real Estate, Private Equity, Cash, Inflation Sensitive and Overlay. CalSTRS often engages in shareholder activism.

SimCorp A/S is engaged in the development and provision of investment management software solutions and services. It operates through the following geographical segments: Nordic; Central Europe; United Kingdom & Middle East; Benelux, France & Italy; Asia Pacific; North America; Dimension; Coric; and Corporate Functions. It offers asset and wealth management, sovereign wealth funds, and pension funds. The company was founded in 1971 and is headquartered in Copenhagen, Denmark.

Key Stats and Financials As of 2018
Market Capitalization
$9.94B
Total Enterprise Value
$7.75B
Earnings Per Share
$4.57
Revenue
$436M
Net Profit
$173M
EBITDA
$236M
EBITDAMargin
54.11%
Total Debt
$0
Total Equity
$608M
Enterprise Value Sales
17.8x
Enterprise Value EBITDAOperating
32.9x
TEVNet Income
44.85x
Debt TEV
0x
Three Year Compounded Annual Growth Rate Of Revenue
12.85%
Five Year Compounded Annual Growth Rate Of Revenue
12.78%
Investors
Details Hidden

BancBoston Capital provides a variety of financing options including early-stage venture capital for emerging growth companies, later-stage investments in more mature companies in consolidating industries and investments in growth companies requiring capital for expansion or ownership transitions. The firm focuses on investments in information technology, healthcare and communications companies and on small to middle-market manufacturing and service sector companies.

Details Hidden

CSFB Private Equity Partners employs has various private equity strategies that capitalize on an integrated global platform designed to meet investor demand for increasingly more diverse and sophisticated investment solutions. The firm provides solutions and products for private equity investors through single manager funds and commingled fund of funds, as well as customized separate accounts and co-investment programs. Thier strategies include: Sector Strategies, Regional Strategies and Private Equity Third Party Fundraising.

Suppliers
BlackRock, Inc. Investment Banking & Brokerage | New York, NY

BlackRock is trusted to manage more money than any other investment firm. Their business is investing on behalf of their clients — from large institutions to parents and grandparents, teachers, nurses, doctors and people from all walks of life who entrust their savings to them. They are passionate about their work and intensely focused on performing at the highest levels. To get there, they strive to out-think and out-work competitors and find the best balance of risk and return across all investment styles on behalf of their clients.

Gresham Technologies Plc IT Consulting & Services | London, GL

Gresham Technologies Plc engages in the provision of software solutions to international financial institutions. The Clareti Solutions segment provides solutions such as Clareti Transaction Control, Clareti Accounts Receivable Management, Clareti 24 Integration Objects, and Clareti Loan Control to the finance and banking markets across Asia Pacific, EMEA and North America. The Other Solutions segment supplies a range of well-established solutions to enterprise-level customers in a variety of end markets. The company was founded in 1969 and is headquartered in London, the United Kingdom.

Competitors
Intercontinental Exchange, Inc. Securities & Commodities Exchanges - Atlanta, GA

Intercontinental Exchange, Inc. engages in the management of online marketplace. It operates through the Trading and Clearing; and Data and Listings segments. The Trading and Clearing segment offers transaction-based executions and clearing activities. The Data and Listings segment includes securities and subscription-based data services. The company was founded by Jeffrey C. Sprecher in May 2000 and is headquartered in Atlanta, GA.

London Stock Exchange Group Plc Securities & Commodities Exchanges - LONDON, LO

London Stock Exchange Group Plc engages in the provision of global financial markets infrastructure services. It operates through the following segments: Information Services, Post Trade Services-LCH, Post Trade Services-CC&G and Monte Titoli, Capital Markets, Technology Services, and Other. The Information Services segment refers to subscription and license fees for data and index services provided. The Post Trade Services-LCH segment refers to CCP and clearing services provided, non-cash collateral management, and net interest earned on cash held for margin and default funds. The Post Trade Services-CC&G and Monte Titoli segment is responsible for trades and contracts clearing, and relates to net interest earned on cash, securities held for margin and default funds, and settlement and custody services. The Capital Markets segment pertains to admission fees from initial listing and further capital raises, annual fees charged for securities traded on the group's markets, and fees from secondary market services. The Technology Services segment comprises capital markets software licenses and related information technology infrastructure, network connection, and server hosting services. The Other segment covers events and media services. The company was founded in 1698 and is headquartered in London, the United Kingdom.

Bloomberg, Inc. IT Consulting & Services - New York, NY

Bloomberg, Inc. provides market data research and publishing services. It offers online publishing and marketing services. The firm provides data, news, analytics and solutions for professional, corporate and government. The company was incorporated on February 8, 1982 and is headquartered in New York, NY.

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