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Date 21/07/2010
CFTC Releases List Of Areas Of Rulemaking For Over-The-Counter Derivatives
The Commodity Futures Trading Commission (CFTC) today released the list of 30 areas of rulemaking to implement the Wall Street Reform and Consumer Protection Act. Some of these areas will require only one rule, while others may require more. The CFTC is required to complete these rules generally in 360 days, though some are required to be completed within 90, 180 or 270 days.
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Date 21/07/2010
Speech By SEC Chairman Mary L. Schapiro: Opening Statement At The SEC Open Meeting—12b-1 Fees
Good morning. Today, the Commission will take up two matters: First, we will consider proposals that would restructure the way mutual funds pay for the marketing and selling of their shares.
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Date 21/07/2010
CFTC Chairman Gensler Comments On Enactment Of Wall Street Reform And Consumer Protection Act
Commodity Futures Trading Commission (CFTC) Chairman Gary Gensler today commented on the President’s signing of the Wall Street Reform and Consumer Protection Act.
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Date 21/07/2010
David W. Blass Named SEC Associate General Counsel For Legal Policy
The Securities and Exchange Commission today announced that David W. Blass has been named an Associate General Counsel for Legal Policy in the agency's Office of the General Counsel.
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Date 21/07/2010
Direct Edge Starts Trading as Full Exchange
Direct Edge formally launched the changeover of its EDGA and EDGX trading platforms into national stock exchanges Wednesday. At 9:30 a.m., the platforms that once were classified as electronic communications networks began trading across all listed stock symbols, as exchanges.
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Date 21/07/2010
Remarks Of President Barack Obama – Wall Street Reform Bill Signing
Good morning, everyone. We’re gathered in the heart of our nation’s capital, surrounded by memorials to leaders and citizens who served our nation in its earliest days, and in its days of greatest trial.
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Date 21/07/2010
SEC Approves Disclosure Form Changes To Provide Investors Greater Information About Their Investment Advisers
The Securities and Exchange Commission today voted unanimously to adopt changes to the principal disclosure document that SEC-registered investment advisers must provide to their clients and prospective clients.
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Date 21/07/2010
CalPERS Hails Federal Financial Reform
The California Public Employees’ Retirement System (CalPERS) , – which has worked for years to achieve significant corporate governance and financial regulatory reform – today praised the new federal financial reform law as an historic step toward protecting markets and advancing shareowner democracy.
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Date 21/07/2010
FINRA Fines Deutsche Bank Securities $7.5 Million For Negligent Misrepresentations Related To Subprime Securitizations
The Financial Industry Regulatory Authority (FINRA) announced today that it has fined Deutsche Bank Securities Inc. $7.5 million for negligently misrepresenting delinquency data in connection with the issuance of subprime securities.
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Date 21/07/2010
SIFMA: Ryan Statement On Enactment Of Dodd-Frank Act
The Securities Industry and Financial Markets Association (SIFMA) today released the following statement from President and CEO Tim Ryan following President Obama’s signing of the Dodd-Frank Wall Street Reform and Consumer Protection Act.
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