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Federal Reserve Board Announces Two Separate Reviews Are Underway Regarding Examinations Of Large Banking Organizations
Date 20/11/2014
The Federal Reserve Board on Thursday announced two separate reviews that are underway at the Federal Reserve System to ensure that the examinations of large banking organizations are consistent, sound, and supported by all relevant information.
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SIFMA Market Close Recommendations For The Thanksgiving Day Holiday In The US, UK And Japan
Date 20/11/2014
In observance of the U.S. Thanksgiving Day holiday, SIFMA made holiday recommendations in U.S., UK and Japan.
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Bank Remuneration: Letter From The UK Chancellor To The Governor Of The Bank Of England
Date 20/11/2014
The Chancellor of the Exchequer, George Osborne has written to the Governor of the Bank of England, Mark Carney in his capacity as Chair of the Financial Stability Board. It sets out the Chancellor’s concerns around the implications of the EU’s ‘bonus cap’ and discusses the need for further work at the Financial Stability Board on bank remuneration in the context of rising fixed pay within the EU.
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U.S. Tri-Party Repo Indices And Related Futures Products From BNY Mellon And CME Group To Provide Investors With Powerful New Interest Rate Risk Management Tools - Collaboration Combines BNY Mellon's leadership In U.S.Tri-Party Repo Services With CME Group's Ability To Provide Access To One Of The World’s Largest Interest Rates Futures Open Interest Pools
Date 20/11/2014
BNY Mellon, a global leader in investment management and investment services, and CME Group, one of the world's leading and most diverse derivatives marketplaces, today announced a collaboration that will provide investors with important new interest rate hedging tools that leverage BNY Mellon's strengths as a U.S. Tri-Party Repo agent and custodian and CME Group's leadership as a derivatives marketplace.
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TSX Markets: Top 20 Largest Consolidated Short Position Report - November 15, 2014
Date 20/11/2014
Please find below the Top 20 Largest Consolidated Short Position Report Highlights. The report is produced twice monthly, effective the 15th and the end of each month. The report below covers the 2-week period ending November 15, 2014.
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Statement To The SEC Government-Business Forum On Small Business Capital Formation, SEC Commissioner Kara M. Stein
Date 20/11/2014
Let me add my welcome to those of the other Commissioners. It is a pleasure to be with you this morning as you meet to discuss the important topic of small business capital formation. I have been particularly focused on capital formation myself, because smart policies around capital formation, particularly for small businesses, will lead to good jobs and healthy investment opportunities across America.
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Canadian Securities Exchange To Bring Nasdaq's Corporate Solutions To Issuers
Date 20/11/2014
Nasdaq (Nasdaq:NDAQ) today announced a new partnership with the Canadian Securities Exchange (CSE) in Toronto, to further its commitment to providing value-add Corporate Solutions offerings for listed companies in Canada. The strategic partnership will offer CSE's issuers the full suite of Nasdaq's market-leading Corporate Solutions products including investor services and targeting, public relations and governance solutions.
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Opening Remarks To The 2014 Government-Business Forum On Small Business Capital Formation, SEC Commissioner Daniel M. Gallagher
Date 20/11/2014
Thank you, Keith [Higgins] for that introduction. And a special thank you to Sebastian [Gomez Abero] for his hard work in organizing this conference and, quite frankly, for all of his amazing work generally. His role as Chief of the Division of Corporation Finance’s Office of Small Business Policy is probably the most important staff position at the SEC for promoting the capital formation needs of small businesses, which is in turn one of the most important things that this agency should be doing.
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FIA Global Requests Segregated Margin Be Excluded From Basel III Capital Requirements
Date 20/11/2014
FIA Global sent a letter to the Basel Committee on Banking Supervision this week urging the committee to consider how segregated margin is treated in the leverage calculations that determine bank capital requirements. FIA Global was joined on the letter by two other global trade associations—the World Federation of Exchanges and CCP12—as well as four global central clearing parties in their own rights: ICE, CME Group, LCH Clearnet Group, and Eurex Group.
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Wedbush Securities And Two Officials Agree To Settle SEC Case - L.A.-Based Broker-Dealer Admits Wrongdoing And Will Pay Financial Penalty For Market Access Violations
Date 20/11/2014
The Securities and Exchange Commission today announced that Los Angeles-based broker-dealer Wedbush Securities agreed to settle a pending SEC case for market access violations by admitting wrongdoing, paying a $2.44 million penalty, and retaining an independent consultant.
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