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FIA And FIA PTG Comment On Modernizing CFTC’s Surveillance
Date 05/08/2014
FIA and the FIA Principal Traders Group sent a letter to the Commodity Futures Trading Commission yesterday, urging the CFTC to leverage existing resources as it works to develop a 21st-century surveillance system.
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OCC Bulletin: Regulatory Capital-Revisions To The Risk-Based Capital Definition Of Eligible Guarantee For Advanced Approaches Banks: Final Rule
Date 05/08/2014
Summary
The Office of the Comptroller of the Currency, the Board of Governors of the Federal Reserve System, and the Federal Deposit Insurance Corporation have published a final rule that revises the advanced approaches1 risk-based capital rules by removing the requirement that only guarantees provided by certain counterparties are eligible for recognition as credit risk mitigants. Specifically, the final rule modifies the definition of “eligible guarantee” for purposes of the advanced approaches risk-based capital rules by removing the requirement that an eligible guarantee be provided by an “eligible guarantor” for all exposures other than securitization exposures. The rule was published in theFederal Register on July 30, 2014.
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US Agencies Provide Feedback On Second Round Resolution Plans Of "First-Wave" Filers - Firms Required To Address Shortcomings In 2015 Submissions
Date 05/08/2014
The Board of Governors of the Federal Reserve System and the Board of Directors of the Federal Deposit Insurance Corporation announced the completion of reviews of the second round of resolution plans submitted by 11 large, complex banking organizations in 2013. The agencies have issued letters to each of these banking organizations.
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SEC Charges Four Promoters With Manipulating Marijuana-Related Stocks And Other Microcap Companies
Date 05/08/2014
The Securities and Exchange Commission today charged four promoters with ties to the Pacific Northwest for manipulating the securities of several microcap companies, including marijuana-related stocks that the agency has warned investors about in recent weeks.
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DTCC Announces Executive Appointments - Appointments Enhance Leadership Team As DTCC Continues Expanding Globally To Bring Greater Transparency And Risk Mitigation To OTC Derivatives Markets
Date 05/08/2014
The Depository Trust & Clearing Corporation (DTCC) today announced two executive management appointments in its Global Trade Repository business as the company continues to expand operations globally to bring greater transparency to the over-the-counter (OTC) derivatives market and to help financial firms meet new regulatory trade reporting mandates.
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ISDA EMEA Credit Derivatives Determinations Committee: ABB International Finance Limited Bankruptcy Credit Event
Date 05/08/2014
The International Swaps and Derivatives Association, Inc. (ISDA) today announced that its EMEA Credit Derivatives Determinations Committee resolved that a bankruptcy credit event occurred in respect of ABB International Finance Limited.
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BOX Options Exchange August 2014 InBOX
Date 05/08/2014
This is the August issue of InBOX, your news source from inside the BOX Options Exchange. This monthly publication will provide convenient summaries of recent developments at BOX.
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EBA Publishes Final Technical Standards On The Treatment Of Equity Exposures Under The IRB Approach
Date 05/08/2014
The European Banking Authority (EBA) published today its final draft Regulatory Technical Standards (RTS) specifying the treatment of equity exposures under the internal ratings-based (IRB) approach. These RTS will be part of the Single Rulebook aimed at enhancing regulatory harmonisation in the banking sector in the European Union.
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ESMA Releases Responses To MiFIDII/MiFIR Consultation And Discussion Papers
Date 05/08/2014
The European Securities and Markets Authority (ESMA) has made public the responses it received to its Consultation and Discussion Papers on MiFID II/MiFIR.
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EBA Consults On Criteria For Intervention On Structured Deposits Under MiFIR
Date 05/08/2014
The European Banking Authority (EBA) published today a paper laying out criteria for its task of exercising intervention powers on structured deposits. The paper is launched for a public consultation that will run until 5 October 2014. The work is carried out in accordance with the Markets in Financial Instruments Regulation (MiFIR) which requires the EBA to monitor the market for structured deposits marketed, distributed or sold in the European Union.
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