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ESMA Closed On 29 And 30 May For EU Institutional Holidays
Date 28/05/2014
The European Securities and Markets Authority will be closed on Thursday 29 and Friday 30 May for EU Institutional Holidays. It will reopen on Monday 2 June.
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SEC Obtains Asset Freeze To Halt Fraud At Illinois-Based Transfer Agent
Date 28/05/2014
The Securities and Exchange Commission today announced fraud charges and an emergency asset freeze against an Illinois-based transfer agent and its owner whose misappropriation scheme was exposed during an SEC examination of the firm.
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ECB And EBA Update The Classification System For Their Reporting Frameworks
Date 28/05/2014
The European Central Bank (ECB) and the European Banking Authority (EBA) published today a third version of the classification system that links their respective reporting frameworks. This common system, which will support EU banks in their reporting exercise to both the EBA and the ECB, supersedes the second version published in March 2012 and aims at providing a better understanding of the links between the two different reporting frameworks of the ECB and the EBA, while creating synergies between datasets that were originally designed for different purposes.
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MIAX Options Exchange: Multi Tick Price Protection – Available Beginning May 28, 2014
Date 28/05/2014
MIAX recently amended MIAX Rules 515 and 529 to provide market participants additional flexibility to designate the level of price protections for their orders and to allow for immediate routing in an additional situation.
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EBA Publishes List Of Common Equity Tier 1 (CET1) Capital Instruments
Date 28/05/2014
The European Banking Authority (EBA) published today a list of capital instruments across the EU that national supervisory authorities have classified as Common Equity Tier 1. This list, which was compiled in accordance with Article 26 of the Capital Requirements Regulation (CRR), is based on the information received from the 28 national competent authorities across the EU and includes all the CET1 instruments issued by institutions and evaluated as compliant by the national supervisory authorities. The list will be maintained and updated on a regular basis.
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Stanley Fischer Sworn In As Member Of The Board Of Governors Of The Federal Reserve System--May 28, 2014
Date 28/05/2014
Stanley Fischer took the oath of office on Wednesday as a member of the Board of Governors of the Federal Reserve System. The oath was administered by Chair Janet L. Yellen in the Special Library.
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EBA Consults On Technical Standards On Supervisory Benchmarking Of Internal Approaches For Calculating Capital Requirements
Date 28/05/2014
The European Banking Authority (EBA) launched today a consultation on draft Implementing Technical Standards (ITS) and Regulatory Technical Standards (RTS) aimed at specifying the EU framework for the conduct of annual supervisory benchmarking of internal approaches for calculating own funds requirements for credit and market risk exposures (RWAs). The consultation runs until 19 August 2014.
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JonesTrading Names Lutz To Head ETFs - Expansion Into New Asset Class To Benefit Institutional Clients
Date 28/05/2014
JonesTrading Institutional Services LLC, a leading block trading firm in U.S. and international securities for institutions, announced today that industry veteran David Lutz has joined the firm to lead an expansion to develop ETF business. The expansion builds on the already substantial presence the firm has in equities and derivatives.
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Liffe Sets Daily Volume Record In Long Gilt Futures, Surpasses 900,000 Daily Contract Mark
Date 28/05/2014
IntercontinentalExchange Group (NYSE: ICE), the leading global network of exchanges and clearing houses, today announced that Liffe reached a daily volume record of 905,515 contracts in Long Gilt futures on May 27, 2014. The previous volume record was 815,251 contracts on November 27, 2012.
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Tribunal Upholds Decision Of UK's Financial Conduct Authority To Find Ian Hannam Guilty Of Market Abuse
Date 28/05/2014
The Upper Tribunal (Tribunal) has upheld the decision of the Financial Conduct Authority (FCA) that Ian Hannam engaged in two instances of market abuse.
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