Who's Who Directory
Managing Director, DE Shaw
Ted MacDonald, Ph.D. is a managing director of D.E. Shaw & Co., LP and the treasurer of the D.E. Shaw group, where he is responsible for the financing of the firm's portfolios, management of cash and liquidity, supervision of banking and brokerage relationships, and implementation of new businesses.
Vice-chair, Committee on Economic and Monetary Affairs, European Parliament
McCarthy serves as the Chair of the Committee on Internal Market and Consumer Protection and has since 2009 served as the Vice-Chair of the Committee on Economic and Monetary Affairs. First elected in 1994, McCarthy was re-elected in 1999 to represent the newly formed North West England constituency. Being a member of the Party of European Socialists, she sits in the Progressive Alliance of Socialists and Democrats group.
Chairman, European Securities and Markets Authority
Steven Maijoor is chairman of European Securities and Markets Authority (ESMA), which oversees financial regulations for the EC. Before ESMA, Maijoor was Director at the Netherlands Authority for the Financial Markets (AFM), where he was in charge of financial reporting, auditing issues, market integrity supervision and part of the business operations. He is also a part-time professor at both the Maastricht University and the VU University Amsterdam.
COO, NYSE Liffe
Lynn Martin is the Chief Operating Officer (COO) of NYSE Liffe U.S. Martin is also the SVP at NYSE Euronext.
Managing Director, Goldman Sachs
Jack McCabe is co-head of the Futures and Electronic Trading businesses at Goldman Sachs. He joined Goldman Sachs as a trader on the Chicago Board of Trade in 1991 and transferred to Equity Derivative Sales in New York in 1992. Mr. McCabe became co-head of Equity Derivative Sales in 1999 and managed the sales efforts related to options, futures, structured products and swaps. In 2008, Mr. McCabe became co-head of the Goldman Sachs Electronic Trading business (GSET) in the United States.
Richard M. McVey, has been Chief Executive Officer and Chairman of our Board of Directors since our inception. As an employee of J.P. Morgan & Co., one of our founding broker-dealers, McVey was instrumental in the founding of MarketAxess in April 2000. Prior to founding MarketAxess, McVey was Managing Director and Head of North America Fixed Income Sales at JPMorgan, where he managed the institutional distribution of fixed-income securities to investors, from 1996 until April 2000.
US Senator and Member of the Banking, Housing and Urban Affairs Committee
Jeffrey Merkley is a Senator from Oregon. Merkley was elected to his first Senate term in 2008. Along with Sen. Carl Levin, Merkley introduced an amendment based on the Protect our Recovery through Oversight of Proprietary (PROP) Trading Act that restricts proprietary trading by banks and large non-banks and prohibits conflicts of interests by underwriters.
Global Head of Policy, International Swaps & Derivatives Association (ISDA)
Richard Metcalfe is the Senior Director of Global Policy and the Co-Head of European Office at the International Swaps & Derivatives Association (ISDA). Metcalfe is responsible for formulating and promoting global policy on issues of relevance to major wholesale banks.
Mary John Miller
Under Secretary for Domestic Finance, US Treasury
Mary John Miller was confirmed by the U.S. Senate to serve as the Department of the Treasury’s Assistant Secretary for Financial Markets. She also serves as the senior member of the Treasury Financing Group. Prior to joining the Department of the Treasury, Miller was the director of the Fixed Income Division for T. Rowe Price Group, Inc. She was also a member of the firm’s Management Committee and held key investment management responsibilities on the firm’s Asset Allocation Committee and was an officer on a number of fixed income mutual funds.
Member, Financial Services Committee
Patrick Murphy is the U.S. Representative for Florida's 18th congressional district He is a member of the Democratic Party. Murphy was named to the Financial Services Committee in 2013. Prior to being elected to office, Murphy served as a CPA at Deloitte and Touche, where he was an external auditor of Fortune 500 companies, and served as vice president of his family's construction business.