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Bursa Malaysia Closes For Wesak Day
Date 08/05/2014
Bursa Malaysia and its subsidiaries will be closed on Tuesday, 13 May 2014 in conjunction with Wesak Day.
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ASX Launches New Managed Funds Settlement Service
Date 08/05/2014
ASX has today officially launched its new managed funds settlement service - mFund.
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CFTC Amends Complaint Against Banc de Binary, Ltd. To Charge Three Affiliated Corporate Entities With Violating The CFTC’s Ban On Trading Options Contracts Off-Exchange - CFTC Also Charges Oren Shabat Laurent As The Controlling Person Of The Corporate Defendants And Of The Banc de Binary Common Enterprise
Date 07/05/2014
On June 5, 2013, the U.S. Commodity Futures Trading Commission (CFTC) filed a civil Complaint in federal district court in Nevada against Banc de Binary, Ltd. (incorporated in the Republic of Cyprus), charging it with violating the CFTC’s ban on off-exchange options trading by offering commodity option contracts to U.S. customers for trading, as well as soliciting, accepting orders and funds, or confirming the execution of orders, from U.S. customers (see CFTC Press Release 6602-13). Today, the CFTC is announcing that on May 6, 2014, it filed an amended Complaint in this action (see Related Links), charging three corporate affiliates of Banc de Binary, Ltd. – E.T. Binary Options Ltd. (incorporated in Israel), BO Systems Ltd., andBDB Services Ltd. (both incorporated in the Republic of Seychelles) – also with violating the CFTC’s ban on off-exchange options trading by offering commodity option contracts to U.S. customers for trading, as well as soliciting, accepting, or confirming the execution of orders from U.S. customers during the period from May 2011 through at least March 2013.
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Financial Stability Oversight Council Releases Fourth Annual Report - Council Votes To Enhance Transparency Policy And Council Governance
Date 07/05/2014
The Financial Stability Oversight Council (Council) today unanimously approved its 2014 annual report, which was developed collaboratively by the members of the Council and their agencies and staffs. Under the Dodd-Frank Act, the Council must report annually to Congress on a range of issues, including significant financial market and regulatory developments, potential emerging threats to the financial stability of the United States, and the activities of the Council. The report must also make recommendations to promote market discipline; maintain investor confidence; and enhance the integrity, efficiency, competitiveness, and stability of U.S. financial markets.
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CFTC’s Division Of Clearing And Risk Issues No-Action Letter For OTC Clearing Hong Kong Limited
Date 07/05/2014
The U.S. Commodity Futures Trading Commission’s (Commission) Division of Clearing and Risk (DCR) today issued a time-limited no-action letter stating that DCR will not recommend that the Commission take enforcement action against OTC Clearing Hong Kong Limited (OTC Clear) for failing to register as a derivatives clearing organization (DCO) pursuant to Section 5b(a) of the Commodity Exchange Act (CEA) or (2) U.S. clearing participants of OTC Clear for failure to clear certain interest rate swaps and certain non-deliverable forwards through a registered DCO pursuant to Section 2(h)(1)(A) of the CEA and the implementing regulations thereunder.
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SIFMA Finalizes Model Documents For Compliance With Municipal Advisor Rule - Will Host "Muni Advisor Regulation - Implementation And Registration" May 9
Date 07/05/2014
SIFMA today announced that it has finalized its model documents and related guidance to help brokers, dealers and other financial institutions serve their clients and comply with the new regulatory requirements created by the SEC's Municipal Advisor Rule. The documents are available atwww.sifma.org/MAForms.
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BM&FBOVESPA Publishes April Market Performance
Date 07/05/2014
In April the equities market’s ( BOVESPA segment) financial volume totaled BRL150.11 billion against BRL125.23 billion in March. Daily average was BRL7.50 billion against BRL6.59 billion in the previous month. Total number of trades in April was 19,724,219 against 18,503,854 in March. Daily average number of trades was 986,211 against 973,887 in the previous month.
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SEC Announces Charges And Asset Freeze Against Hedge Fund Advisory Firm Distributing Falsified Performance Results
Date 07/05/2014
The Securities and Exchange Commission today announced fraud charges and an asset freeze against a New York-based investment advisory firm and two executives for distributing falsified performance results to prospective investors in two hedge funds they managed.
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MGEX Open Interest Back On Record Sheet
Date 07/05/2014
MGEX, a Designated Contract Market (DCM) and Derivatives Clearing Organization (DCO), reports daily Exchange open interest back in the top 20. Total Hard Red Spring Wheat (HRSW) and Apple Juice Concentrate (AJC) open interest after yesterday’s trade date came in at 79,469 open contracts, number 16 on the daily Exchange open interest records.
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IntercontinentalExchange Announces Launch Of 64 New Energy Contracts
Date 07/05/2014
IntercontinentalExchange Group (NYSE:ICE), the leading global network of exchanges and clearing houses, today announced the introduction of 64 new energy futures and options contracts on May 12, 2014, subject to the completion of necessary regulatory and governance processes.
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