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Date 10/11/2009
CME Group Inc. Declares Quarterly Dividend
CME Group, the world's largest and most diverse derivatives marketplace, today declared a fourth-quarter dividend of $1.15 per share, payable December 28, 2009, to shareholders of record December 10, 2009.
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Date 10/11/2009
BM&FBOVESPA S.A Announces Earnings For The Third Quarter Of 2009
Net income reached R$245.8 million with earnings per share of R$0.120, a 4.3% rise over pro forma net income for the same period one year ago. Adjusted net income (as adjusted by items with no impact on cash flow) totaled R$337.3 million, with adjusted EPS of R$0.165.
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Date 10/11/2009
SIFMA Market Close Recommendations For The US Thanksgiving Day And Japanese Labor Thanksgiving Day Holidays In The US, The UK And The Japanese Markets
In observance of the US Thanksgiving Day and Japanese Labor Thanksgiving Day holidays, SIFMA made holiday recommendations in U.S., U.K., and Japan.
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Date 10/11/2009
NYSE Group Inc. Issues Short Interest Report
The NYSE Group, Inc. today reported short interest as of the close of business on the settlement date of October 30, 2009.
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Date 10/11/2009
Robert W. Cook Named Director Of SEC Division Of Trading And Markets
Securities and Exchange Commission Chairman Mary L. Schapiro announced today that Robert W. Cook has been named Director of the agency's Division of Trading and Markets.
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Date 10/11/2009
NYSE Amex Issues Short Interest Report
NYSE Amex (formerly known as NYSE Alternext US) today reported short interest as of the close of business on the settlement date of October 30, 2009
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Date 10/11/2009
CalPERS Lauds House, Urges Senate To Complete Health Care Reform In 2009
The California Public Employees’ Retirement System (CalPERS) today applauded Saturday’s action by the U.S. House of Representatives in approving sweeping health care reform, paving the way for the Senate to take up the legislation.
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Date 10/11/2009
SIFMA’s Bentsen Statement On Dodd Regulatory Reform Legislation
The Securities Industry and Financial Markets Association (SIFMA) today released a statement from Kenneth E. Bentsen, Jr., executive vice president, public policy and advocacy, in response to Senate Banking Committee Chairman Christopher Dodd’s proposed regulatory reform legislation:
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Date 10/11/2009
Federal Court Freezes Assets Of Florida Resident David A. Owen, Charged By The CFTC With A Multi-Million Dollar Commodity Pool Fraud - Owen, Doing Business As Oasis Futures, Charged With Fraudulently Soliciting At Least $2.5 Million, Misappropriation And
The U.S. Commodity Futures Trading Commission (CFTC) today announced that a federal court entered an order freezing assets held by defendant David A. Owen, of Destin, Fla. The court’s consent restraining order also preserves books and records and requires Owen to make an accounting of his assets.
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Date 10/11/2009
SEC Charges Former CFO Of New York-Based Hedge Fund With Securities Fraud
The Securities and Exchange Commission today charged the former chief financial officer of a New York-based hedge fund with securities fraud for arranging secret sales of securities from his personal trading account to the hedge fund accounts at inflated prices to generate his own illicit profits.
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