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FIBRA Macquarie Completes Successful Primary Global Offer Of Real Estate Investment Trust Stock Certificates - For A Second Time, FIBRA Macquarie Turned To The Securities Market To Reaffirm Its Growth Trend
Date 18/09/2014
Today, Macquarie México Real Estate Management, S.A. de C.V. completed the successful Primary Global Offer of Real Estate Investment Trust Stock Certificates of the Macquarie Investment and Real Estate Trust (FIBRA Macquarie), with ticker code "FIBRAMQ 12", for a total of 207´000,000 certificates.
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SEC Charges Eight For Roles In Widespread Pump-And-Dump Scheme Involving California-Based Microcap Company
Date 18/09/2014
The Securities and Exchange Commission today charged a ring of eight individuals for their roles in an alleged pump-and-dump scheme involving a penny stock company based in California that has repeatedly changed its name and purported line of business over the past several years.
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FINRA Marks 75th Anniversary Of Protecting Investors
Date 18/09/2014
The Financial Industry Regulatory Authority (FINRA) marked the 75th anniversary of the creation of the National Association of Securities Dealers (NASD) in 1939. In 1938, the Maloney Act amended the Securities Exchange Act of 1934 to provide for the creation of a regulatory entity that would create and enforce securities rules and promote just and equitable principles of trade. NASD's mandate was "to protect investors and the public interest, and to remove the impediments to and perfect the mechanism of a free and open market." In 2007, NASD consolidated with the member regulation, enforcement and arbitration functions of the NYSE to become FINRA.
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CME Group Announces Record Volume Day In Eurodollar Futures - All-Time High Of 6.88 Million Eurodollar Futures Contracts Traded Following Federal Reserve Meeting
Date 18/09/2014
CME Group, the world's leading and most diverse derivatives marketplace, announced a Eurodollar futures record volume day with 6,880,382 contracts traded on Sept. 17, 2014, exceeding the previous record of 6,039,753 contracts, which occurred on March 19, 2014.
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SEC Charges Tacoma, Wash.-Area Firm For Undisclosed Principal Transactions And Misleading Performance Advertisements
Date 18/09/2014
The Securities and Exchange Commission today charged an investment advisory firm located outside Tacoma, Wash., with engaging in hundreds of principal transactions through its affiliated broker-dealer without informing clients or obtaining their consent.
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CISI Signs MoU With CMA Kenya
Date 18/09/2014
As part of its drive to enhance the positioning of Kenya as a premier investment destination, the Capital Markets Authority (CMA) has signed a Memorandum of Understanding (MOU) with the Chartered Institute for Securities & Investment (CISI) for the introduction of international certification standards in the capital markets industry.
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S&P Dow Jones Indices Market Attributes: Risk & Volatility Index Dashboard
Date 18/09/2014
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Exchange Council: EEX Exchange Council Approves Introduction Of Inter-Product Spreads - Exchange Trading For Nordic Power Futures Approved - Timothy Neil Greenwood New Managing Director Exchange – Three New Members On The Exchange Council
Date 18/09/2014
On 17 September 2014, this year’s third meeting of the Exchange Council of the European Energy Exchange (EEX) was held in Leipzig. It was chaired by Dr. Michael Redanz, who stood in for Peter Heydecker, the Chairman of the Exchange Council. At the meeting, the introduction of new products was approved and the new software solution providing access to the EEX markets was presented.
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Egyptian Exchange: Beginning Of Trading On October Pharma Company On Sunday 21 September 2014
Date 18/09/2014
As per EGX efforts to work with the listed companies to adjust their positions to comply with listing and de-listing rules, and in the light of the close review of the suspended companies on a regular basis and sending the results to the listing committee respectively, the listing committee held on 16/09/2014 decided to resume trading on the listed company (October Pharma) after being suspended for a period of more than 2 years since 03/05/2012 due to non-renewal of its legal term which had ended on 10/04/2012 and the subsequent judicial disputes, specially with regard to the board of directors formation.
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First Virtual Financial Fair: anlagewelt.ch - SIX Swiss Exchange Presents At Switzerland's First Virtual Financial Fair - anlagewelt.ch - Its Versatile Product Range
Date 18/09/2014
On 24 and 25 September 2014 the first virtual financial fair of Switzerland is being held within the World Wide Web. The trade fair format offers institutional and private investors the chance to discuss investment solutions, investment products and consulting services with experts from the comfort of their own desks. It gives them the opportunity to interact virtually with other attendees and exhibitors and to expand their own networks in a targeted manner.
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