An Update on Markets and Sustainability
The New York Stock Exchange has been the premier exchange of choice for innovators, visionaries, and leaders for over 230 years. As the #1 global listing exchange and at the heart of the capital markets, the NYSE is committed to supporting the journeys of disruptors and doers, from our powerful listed company community to innovative start-ups.
Join us on October 10 as we will briefly review the third quarter in financial markets and offer a look to key upcoming catalysts. Learn more about market expectations, key themes and what investors will be focused on.
As the world’s largest stock market where an average 2.4 billion shares exchange hands each day, the NYSE is also powered by a cutting-edge, dynamic technology infrastructure that is unrivaled in the financial markets. Learn more about our innovative trading technology and what it can do for your business.
Telling a cohesive ESG story to stakeholders and understanding best practices around disclosures are top-of-mind for the NYSE community. We’re committed to helping you navigate the ESG landscape. Learn more about our resources and platforms for issuers to grow your ESG and Net Zero Programs.
Attendees will be able to contribute to a live, moderated Q&As after each session.
Speakers
Tuesday, Oct. 10
Space is limited. This invite is personal and non-transferable.

Michael Reinking, CFA is the Senior Market Strategist for the NYSE and head of the NYSE Market Access Center (MAC) Desk, which provides market insight and intelligence to listed companies. Prior to his role at the NYSE, Michael spent over 15 years on the buyside, as a trader and analyst. His investment experience spans across financial products in both quantitative and fundamental-based strategies. Reinking earned a BS in Finance and International Business from Penn State University. He is also a CFA charter holder.

Kevin Tyrrell is Head of Equities at the New York Stock Exchange, a wholly owned subsidiary of the Intercontinental Exchange (NYSE: ICE).
Kevin is responsible for NYSE’s equity trading businesses, including the New York Stock Exchange, NYSE Arca, NYSE American, NYSE National and NYSE Texas exchanges. Kevin previously served as NYSE’s Head of Research, responsible for market analysis, customer performance analytics, and original research development for NYSE’s transactions and listings businesses. Prior to joining NYSE, Kevin was head of Quant Solutions Sales and previously head of Execution Consulting for the electronic equities business at Bank of America Merrill Lynch, and previously worked at UBS Investment Bank and Nasdaq. Kevin holds a B.A. from The George Washington University and an MBA, Quantitative Finance from NYU Stern School of Business.

Brian C. Matt, CFA, is Head of ESG Advisory for the New York Stock Exchange, and is responsible for the NYSE’s relationship with its listed companies with respect to their progress on ESG. He has over 20 years of experience in working with corporate investor relations teams to help them craft and deliver their investment stories. Prior to NYSE, Brian was head of ESG for Americas for IHS Markit’s Issuer Solutions group, and led the buildout of a product suite helping companies to evaluate their ESG disclosures and engage with stakeholders. He was previously Global Head of Strategy & Innovation, as well as led the buildout of various corporate IR-focused products including investor targeting, situational analytics, and corporate governance / shareholder engagement platforms, for Ipreo. Brian is based in New York and is a CFA charterholder.

Cassandra Seier is the Head of International Capital Markets for NYSE Group, a part of Intercontinental Exchange, Inc. (NYSE: ICE). Seier is responsible for attracting new listings from companies around the world, including Asia, Canada, EMEA and Latin America. She advises private companies, private equity and venture capital firms, investment bankers and others on the IPO landscape, NYSE initiatives and listing venue selection. Prior to joining the NYSE, Seier spent more than 24 years at Goldman Sachs, where she most recently served as a Managing Director focusing on futures and OTC clearing. During her time at Goldman, Seier worked in the bank’s offices in Singapore, New York and London. Seier earned a BA in Finance with a minor in Economics from the University of Oregon. She has been a CFA charterholder since 2004. Seier is President and CEO of Women in Financial Markets, Inc. (WIFM), a 501c3 nonprofit organization whose mission is to connect, elevate and advance women leaders in the financial industry.