FTSE Mondo Visione Exchanges Index:
News Centre
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Date 17/06/2014
Presentation By Rob Everett To The Trans-Tasman Business Circle 2014
Thank you for the opportunity to speak today. I am going to address the issue of regulation and its impact on productivity.
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Date 17/06/2014
FIF Market Data Capacity Statistics - Records - One New Record Peak: BATS Options MCASTPITCH AGG
This month’s bulletin from the Financial Information Forum (FIF) finds that SIAC OPRAwas down 5% to 7,541,618 mps over the 1 second interval
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Date 16/06/2014
J. Christopher Giancarlo Sworn In As A Commissioner Of The U.S. Commodity Futures Trading Commission
J. Christopher Giancarlo was officially sworn in today, after being confirmed by the U.S. Senate on June 3, to serve as a Commissioner of the U.S. Commodity Futures Trading Commission (CFTC), the federal agency that oversees the commodity futures, options and swaps industry. Mr. Giancarlo assumed his responsibilities today.
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Date 16/06/2014
IEX Hires Former SEC Head Of Division Of Trading And Markets
IEX today announced that John Ramsay, until recently the Acting Director of the Securities and Exchange Commission’s Division of Trading and Markets, is joining the company as its Chief Market Policy and Regulatory Officer. In this role, he will work with a broad range of constituents, including investors, broker-dealers, trading venues, and governmental and regulatory authorities, to advance the company’s investor and industry engagement objectives and will oversee the company’s compliance with its regulatory obligations and its self-regulatory obligations, once IEX is registered as a national securities exchange.
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Date 16/06/2014
NYSE President Farley To Testify On Market Structure
The New York Stock Exchange, part of the Intercontinental Exchange (NYSE: ICE) global network, announced today that NYSE President Thomas W. Farley will appear before the Homeland Security and Governmental Affairs Permanent Subcommittee on Investigations tomorrow to discuss equity market structure.
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Date 16/06/2014
SEC Charges Hedge Fund Adviser With Conducting Conflicted Transactions And Retaliating Against Whistleblower - First SEC Case Under New Authority To Bring Anti-Retaliation Enforcement Actions
The Securities and Exchange Commission today charged an Albany, N.Y.-based hedge fund advisory firm with engaging in prohibited principal transactions and then retaliating against the employee who reported the trading activity to the SEC. This is the first time the SEC has filed a case under its new authority to bring anti-retaliation enforcement actions. The SEC also charged the firm’s owner with causing the improper principal transactions.
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Date 16/06/2014
FESE Blueprint To Boost European Growth
Operators of Europe's Regulated Markets believe that the new EU policy cycle should focus on economic growth. This will require changes around five main areas. For further information and references, click here.
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Date 16/06/2014
FTSE Licenses Three Indices To Vanguard For New ETFs
FTSE Group (“FTSE”), the global index provider, today announces that it has licensed three indices to Vanguard, to act as the basis for a new range of Exchange Traded Funds (ETFs) listed on the Hong Kong Stock Exchange. This brings the number of ETFs based on FTSE indices globally to over 325, including 29 issued by Vanguard.
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Date 16/06/2014
15 Spanish Midcap Companies Meet With U.S. Institutional Investors - BME, JB Capital Markets And Auerbach Grayson Host Spanish Small & Midcaps Conference In New York
Bolsas Mercados Espanoles, JB Capital Markets and Auerbach Grayson are hosting the third Spanish Small & Midcaps Conference tomorrow, June 17th, in New York City.
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Date 16/06/2014
Moscow Exchange: Final Settlement Prices Determined For June FX And Interest Futures
On 16 June final settlement prices were calculated for futures contracts on currency pairs.
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