WO2009113901A1 - Биржевая система проведения торгов паев паевых инвестиционных фондов - Google Patents
Биржевая система проведения торгов паев паевых инвестиционных фондов Download PDFInfo
- Publication number
- WO2009113901A1 WO2009113901A1 PCT/RU2008/000144 RU2008000144W WO2009113901A1 WO 2009113901 A1 WO2009113901 A1 WO 2009113901A1 RU 2008000144 W RU2008000144 W RU 2008000144W WO 2009113901 A1 WO2009113901 A1 WO 2009113901A1
- Authority
- WO
- WIPO (PCT)
- Prior art keywords
- unit
- fund
- securities
- trading
- database
- Prior art date
Links
- 238000004891 communication Methods 0.000 claims abstract description 5
- 238000000034 method Methods 0.000 abstract description 5
- 239000000284 extract Substances 0.000 description 2
- 238000012544 monitoring process Methods 0.000 description 2
- 230000001105 regulatory effect Effects 0.000 description 2
- 230000002146 bilateral effect Effects 0.000 description 1
- 230000015572 biosynthetic process Effects 0.000 description 1
- 238000004364 calculation method Methods 0.000 description 1
- 238000010586 diagram Methods 0.000 description 1
- 230000007306 turnover Effects 0.000 description 1
Classifications
-
- G—PHYSICS
- G06—COMPUTING; CALCULATING OR COUNTING
- G06Q—INFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
- G06Q40/00—Finance; Insurance; Tax strategies; Processing of corporate or income taxes
- G06Q40/06—Asset management; Financial planning or analysis
-
- G—PHYSICS
- G06—COMPUTING; CALCULATING OR COUNTING
- G06Q—INFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
- G06Q40/00—Finance; Insurance; Tax strategies; Processing of corporate or income taxes
- G06Q40/04—Trading; Exchange, e.g. stocks, commodities, derivatives or currency exchange
Definitions
- the invention relates to systems and methods for computing and data processing, specifically designed for specific credit and financial transactions in the form of unit turnover as the equivalent of securities, for example, in the form of targeted debt in the sale of goods and the provision of services.
- a known system for monitoring and demonstrating the results of the purchase / sale of units of mutual investment funds (hereinafter referred to as UIF) on the exchange including a processor unit made with appropriate software and connected via communication channels to a unit for displaying text and graphic information and an information input device (RU Ns 2187149, G06F17 / 60, publ. 08/10/2002).
- UIF mutual investment funds
- the disadvantage of this system, which is used as a tool for transactions on the stock exchange of units, is the use of an algorithm for calculating the unit value that is insufficiently informative and reliable.
- Information on the number of securities included in the assets of the mutual funds is taken from the clearing center, which acts as
- Depository Clearing Company Information on cash balances on trading accounts comes from the Clearing House.
- the data on prices of recent transactions come from trading servers of the stock exchange.
- Information on the number of shares and balances on the UIF settlement accounts is prepared by the management company according to the data provided from banks where the settlement accounts are open, and from the special depository, which takes into account changes in the number of shares upon purchase or redemption by their shareholders.
- This information is communicated to the stock exchange once a day before the start of trading and does not change during the trading day.
- Management companies are required to purchase and redeem units from shareholders only at a price calculated according to the methodology according to which the unit value is calculated as follows: the incoming balance of securities at the beginning of the day is multiplied by the weighted average price at the end of the day. Then the sum of all assets is divided by the number of shares.
- the present invention is directed to solving the technical problem of introducing an appropriate algorithm into a system for monitoring and displaying trading results on the exchange to determine the value of property per share, in real time.
- the technical result achieved in this case is to increase the information content and the reliability of the trading results by displaying the real value of the share according to the results of each transaction.
- the exchange system for trading units of mutual investment funds which includes a processor unit connected via communication channels to a unit for displaying text and graphic information and an information input device, additionally includes a database of the number of units, of which consists of each mutual investment fund participating in the auction, a database of balances on settlement accounts, a database of balances of money on trading accounts and a database of the number of valuable of the securities that comprise the property of each of these funds
- the processor unit is connected through the input device to the specified databases and includes a unit for determining the unit value associated with the unit for displaying the digital equivalent of the unit value for each unit investment fund on a display or in a ticker bar while the unit for determining the real-time value of the unit in the form of a unit price index includes the unit of multiplying the number of securities included in the property of the fund by the estimated price of these securities, a unit for dividing by the number of fund units of the resulting product the number of securities included in the property of the fund by the estimated price of these securities, units
- FIG. 1 is a block diagram of an exchange system for trading units of mutual investment funds.
- the exchange trading system of shares of mutual investment funds includes a processor unit 1 connected via communication channels to a unit 2 for displaying text and graphic information and an information input device / s 3.
- the display unit of text and graphic information is made in the form of a display or creeping line.
- the processor unit, the text and graphic information display unit, and the information input device / s are known components of any computerized system.
- the processor unit is made with appropriate software.
- the system also includes a database of 4 on the number of shares of which each mutual investment fund participating in trading on the exchange consists of, a database of 5 on balances on settlement accounts, a database on balances of money on trading accounts and a database of 7 the number of securities that make up the property of each of these funds.
- the processor unit is connected through input device / va 3 with the indicated databases 4-7 and includes a unit 8 for determining the unit value associated with the unit 2 for displaying the digital equivalent of the unit value for each unit investment fund on a display or in a running line.
- the real-time unit 8 for determining the value of a unit includes a unit 9 for multiplying the number of securities included in the fund’s property by the estimated price of these securities, block 10 for dividing by the number of fund units the product of the number of securities included in the fund’s property by the estimated price of these securities, block 11 of dividing cash balances in the trading block of the accounts of the respective unit investment fund by the number of shares of this fund, block 12 of dividing the settlement accounts of the respective unit investment fund by the number of shares of this fund, as well as block 13 for summing the results of dividing the product of the number of securities included in the property of the fund with the results obtained in the division blocks.
- the unit for determining the unit value is made with the function of determining the unit value in real time by the specified software and displaying the digital equivalent of the unit value for each unit investment fund on the display or in a ticker line as a unit price index determined by dividing the amount of the product securities included in the property of the fund for the estimated price of these securities plus cash balances on the trading and settlement accounts of the respective unit investment onda
- An example of determining the value of a unit is as follows:
- the management company Prior to the start of trading on the stock exchange, the management company receives information in the form of: a. extracts on the number of units of which the fund consists; b. extracts about the balances on the settlement funds of mutual funds.
- the exchange has information on the number of securities and cash balances on trading accounts that make up the fund’s assets in real time.
- NAV net assets
- Information is updated in the event of a transaction with the assets of the fund or in the event of a change in the price of the last transaction on the issuer's securities included in the mutual fund investment portfolio.
- This value in the form of a share price index is broadcast on the stock exchange in the same ways as stock indexes are broadcast.
- M 1 - - the total cash balances of the UIF on its settlement accounts, adjusted for the amount of receivables and payables;
- N is the number of securities in the mutual fund investment portfolio.
- Pj for i-th security is taken the price of the last transaction, and if these securities transactions are not carried out during the current trading session, then as P 1 for the i-th security is taken closing price of the previous of the day.
- the collective investment market in Russia has shown high growth in recent years, however, however, shareholders were able to receive information about the value of net assets and shares only after the end of the trading session.
- the present invention will make the pricing of units more transparent: an indicator of the value of a unit will allow investors to track its dynamics and make decisions on the sale or purchase of units promptly. The calculation of such an indicator will contribute to the popularization and growth of liquidity of the secondary market for these instruments.
- the present invention is industrially applicable, as it can be implemented using widely used computerized systems.
Landscapes
- Business, Economics & Management (AREA)
- Engineering & Computer Science (AREA)
- Finance (AREA)
- Accounting & Taxation (AREA)
- Development Economics (AREA)
- Theoretical Computer Science (AREA)
- Physics & Mathematics (AREA)
- General Physics & Mathematics (AREA)
- General Business, Economics & Management (AREA)
- Economics (AREA)
- Marketing (AREA)
- Strategic Management (AREA)
- Technology Law (AREA)
- Entrepreneurship & Innovation (AREA)
- Operations Research (AREA)
- Human Resources & Organizations (AREA)
- Game Theory and Decision Science (AREA)
- Financial Or Insurance-Related Operations Such As Payment And Settlement (AREA)
Abstract
Description
Claims
Priority Applications (6)
Application Number | Priority Date | Filing Date | Title |
---|---|---|---|
EP08873337A EP2254085A4 (de) | 2008-03-14 | 2008-03-14 | Aktienwechselsystem zur aushandlung von anteilen von anteilsinvestmentfonds |
PCT/RU2008/000144 WO2009113901A1 (ru) | 2008-03-14 | 2008-03-14 | Биржевая система проведения торгов паев паевых инвестиционных фондов |
EA200901370A EA014732B1 (ru) | 2008-03-14 | 2008-03-14 | Биржевая система проведения торгов паев паевых инвестиционных фондов |
CN200880012667A CN101755276A (zh) | 2008-03-14 | 2008-03-14 | 共有基金的证券交易所交易系统 |
CA002684608A CA2684608A1 (en) | 2008-03-14 | 2008-03-14 | Stock exchange trading system for mutual funds |
US12/778,543 US20100257120A1 (en) | 2005-06-08 | 2010-05-12 | Stock exchange trading system for mutual funds |
Applications Claiming Priority (1)
Application Number | Priority Date | Filing Date | Title |
---|---|---|---|
PCT/RU2008/000144 WO2009113901A1 (ru) | 2008-03-14 | 2008-03-14 | Биржевая система проведения торгов паев паевых инвестиционных фондов |
Related Parent Applications (2)
Application Number | Title | Priority Date | Filing Date |
---|---|---|---|
PCT/RU2005/000317 Continuation-In-Part WO2006098654A1 (fr) | 2005-03-15 | 2005-06-08 | Systeme d'affichage de resultats d'achat/vente de parts de fonds d'investissement en bourse |
US57303707A Continuation-In-Part | 2005-06-08 | 2007-01-31 |
Related Child Applications (1)
Application Number | Title | Priority Date | Filing Date |
---|---|---|---|
US12/778,543 Continuation-In-Part US20100257120A1 (en) | 2005-06-08 | 2010-05-12 | Stock exchange trading system for mutual funds |
Publications (1)
Publication Number | Publication Date |
---|---|
WO2009113901A1 true WO2009113901A1 (ru) | 2009-09-17 |
Family
ID=41065439
Family Applications (1)
Application Number | Title | Priority Date | Filing Date |
---|---|---|---|
PCT/RU2008/000144 WO2009113901A1 (ru) | 2005-06-08 | 2008-03-14 | Биржевая система проведения торгов паев паевых инвестиционных фондов |
Country Status (5)
Country | Link |
---|---|
EP (1) | EP2254085A4 (ru) |
CN (1) | CN101755276A (ru) |
CA (1) | CA2684608A1 (ru) |
EA (1) | EA014732B1 (ru) |
WO (1) | WO2009113901A1 (ru) |
Families Citing this family (1)
Publication number | Priority date | Publication date | Assignee | Title |
---|---|---|---|---|
US20180082376A1 (en) * | 2016-09-19 | 2018-03-22 | Prive Services Limited | Data Access in a Computer Based Virtual Fund Management System |
Citations (5)
Publication number | Priority date | Publication date | Assignee | Title |
---|---|---|---|---|
RU2125292C1 (ru) * | 1993-12-28 | 1999-01-20 | Томсон Трэйдинг Сервисиз, Инк. | Устройство и способ для повышения скорости и надежности расчетов по сделкам с ценными бумагами |
RU2187149C1 (ru) | 2000-09-19 | 2002-08-10 | Марат Саитович Тугушев | Способ и система для осуществления кредитно-финансовых операций с использованием ценных бумаг |
RU55170U1 (ru) * | 2005-03-15 | 2006-07-27 | Общество с ограниченной ответственностью "ИНВЕСТИЦИОННАЯ ФИНАНСОВАЯ ГРУППА "ГЛЕНИК-М" (ООО "ИНВЕСТИЦИОННАЯ ФИНАНСОВАЯ ГРУППА "ГЛЕНИК-М") | Система отображения результатов покупки/продажи паев паевых инвестиционных фондов на бирже |
US20060218075A1 (en) * | 2005-01-21 | 2006-09-28 | Feldman Victor D | Exchange traded fund with futures contract based assets |
WO2006133501A1 (en) * | 2005-06-16 | 2006-12-21 | Sharecover Services Pty Limited | Automated formulation of option contracts for shares |
-
2008
- 2008-03-14 CA CA002684608A patent/CA2684608A1/en not_active Abandoned
- 2008-03-14 CN CN200880012667A patent/CN101755276A/zh active Pending
- 2008-03-14 EA EA200901370A patent/EA014732B1/ru not_active IP Right Cessation
- 2008-03-14 WO PCT/RU2008/000144 patent/WO2009113901A1/ru active Application Filing
- 2008-03-14 EP EP08873337A patent/EP2254085A4/de not_active Withdrawn
Patent Citations (5)
Publication number | Priority date | Publication date | Assignee | Title |
---|---|---|---|---|
RU2125292C1 (ru) * | 1993-12-28 | 1999-01-20 | Томсон Трэйдинг Сервисиз, Инк. | Устройство и способ для повышения скорости и надежности расчетов по сделкам с ценными бумагами |
RU2187149C1 (ru) | 2000-09-19 | 2002-08-10 | Марат Саитович Тугушев | Способ и система для осуществления кредитно-финансовых операций с использованием ценных бумаг |
US20060218075A1 (en) * | 2005-01-21 | 2006-09-28 | Feldman Victor D | Exchange traded fund with futures contract based assets |
RU55170U1 (ru) * | 2005-03-15 | 2006-07-27 | Общество с ограниченной ответственностью "ИНВЕСТИЦИОННАЯ ФИНАНСОВАЯ ГРУППА "ГЛЕНИК-М" (ООО "ИНВЕСТИЦИОННАЯ ФИНАНСОВАЯ ГРУППА "ГЛЕНИК-М") | Система отображения результатов покупки/продажи паев паевых инвестиционных фондов на бирже |
WO2006133501A1 (en) * | 2005-06-16 | 2006-12-21 | Sharecover Services Pty Limited | Automated formulation of option contracts for shares |
Non-Patent Citations (1)
Title |
---|
See also references of EP2254085A4 * |
Also Published As
Publication number | Publication date |
---|---|
EP2254085A1 (de) | 2010-11-24 |
CN101755276A (zh) | 2010-06-23 |
EP2254085A4 (de) | 2011-06-15 |
EA200901370A1 (ru) | 2010-04-30 |
EA014732B1 (ru) | 2011-02-28 |
CA2684608A1 (en) | 2009-09-17 |
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