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International equity and fixed income investment managers are taking greater control of the FX trades they need to execute to settle purchases and sales of non-dollar securities as a result of increased client scrutiny of FX transactions. What tools and techniques are buyside firms using to get best execution in FX? How are theymeeting the challenge of trading restricted currencies in emerging markets? How best can traders use the armory of pretrade analytical systems, broker algorithms, RFQ tools and TCA services?
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