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Date 13/01/2015
SIFMA Commends Administration's Focus On Cybersecurity
SIFMA today issued the following statement from Kenneth E. Bentsen, Jr., SIFMA president and CEO, after President Obama announced a new cybersecurity legislative proposal:
"Cybersecurity is a top priority for the financial services industry, which is dedicating significant resources to protect the integrity of the financial markets and the millions of people who use financial services every day."
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Date 13/01/2015
New White Paper On Fund Use Of Options In Portfolio Management Released - Number Of Options-Based Funds Growing - Options-Based Funds Had Higher Risk-Adjusted Returns, Lower Volatility
The Chicago Board Options Exchange® (CBOE®) announced today the release and publication of a groundbreaking new study: “Highlights of Performance Analysis of Options-Based Equity Mutual Funds, CEFs, and ETFs.” The study analyzed SEC-regulated investment companies (mutual funds, exchange traded funds (ETFs) and closed-end funds (CEFs)) that focus on use of exchange-listed options for portfolio management (options-based funds).
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Date 13/01/2015
SEC Charges Canadian Man With Conducting Fraudulent Trading Scheme
The Securities and Exchange Commission today charged a man living in Ontario, Canada, with orchestrating a lucrative market manipulation scheme that relied on “layering” in which a trader places orders solely to trick others into buying or selling U.S. publicly traded stocks at artificially inflated or depressed prices.
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Date 13/01/2015
Rescheduling Of The Amman Stock Exchange's Trading Session For The Third Market On Wednesday 14 January 2015
Based on the Prime Minister's decision to delay the official office hours of the government departments and public institutions due to the weather conditions, The Amman Stock Exchange announces that it will open for business on Wednesday 14th of January 2015 at 09:30 a.m., and the Trading Hours will be as the following:
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Date 13/01/2015
ACER Analyses ENTSOG's EU Gas Supply Outlook For The Winter Of 2015
The Agency has also adopted recently an opinion on ENTSOG’s Winter Supply Outlook 2014-15. The Agency notes that according to ENTSOG, the capability of the European transmission system is appropriate as a whole to serve European markets in severe winter conditions or in a short-term disruption. However, the Agency points out that the implementation of infrastructure developments notably in South-East Europe is lagging behind planned schedules. On a positive note, the Agency agrees with the finding that the high level of gas in underground gas storages in the EU contributes to a higher level of operational flexibility in the current winter season. The Agency welcomes that ENTSOG has expanded the scope of non-EU countries in the analysis and encourages ENTSOG to include all relevant Contracting Parties of the Energy Community in the upcoming analyses.
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Date 13/01/2015
CFTC Chairman Massad Announces Trip to Asia To Continue Dialogue On Swaps Market Reform
U.S. Commodity Futures Trading Commission Chairman Tim Massad will travel to Beijing, Hong Kong, Tokyo and Singapore in January to meet with government officials and market participants. Chairman Massad is making the trip in view of the increasing importance of the Asian derivatives markets and his desire to further the dialogue with government officials and market participants on common concerns and interests.
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Date 13/01/2015
ACER Publishes Its First Implementation Monitoring Report On Gas Congestion Management Procedures (CMP)
In the first implementation monitoring report of its kind, the Agency finds incomplete implementation and limited application of congestion management procedures across the EU.
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Date 13/01/2015
UK's Financial Conduct Authority: Temporary Prohibition Of Short Selling: Saipem
The Financial Conduct Authority (“FCA”) notifies that it temporarily prohibits short selling in the following instrument under Articles 23 (1) and 26 (4) of Regulation (EU) No 236/2012 of the European Parliament and of the Council of 14 March 2012. This follows a decision made by another EU Competent Authority.
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Date 13/01/2015
SEC Announces 2015 Examination Priorities - Priorities Focus On Protecting Retail Investors, Assessing Market-Wide Risks And Using Data Analytics
The Securities and Exchange Commission today announced its Office of Compliance Inspections and Examinations’ (OCIE) priorities for 2015 which focus on three areas: protecting retail investors, especially those saving for or in retirement; assessing market-wide risks; and using data analytics to identify signs of potential illegal activity
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Date 13/01/2015
DTCC Automates Additional Fee Payments For Mutual Funds And Intermediaries Through DTCC Payment AXis® Sevice
The Depository Trust & Clearing Corporation (DTCC), the premier post-trade market infrastructure for the global financial services industry, announced today enhancements to its DTCC Payment aXis® mutual funds service that will automate the processing and net settlement of third-party negotiated fees including Sub-Accounting, Retirement/Bank Trust and Networking Service Fees.
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