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Irish Stock Exchange Monthly Statistics – October 2007
Date 05/11/2007
Equity turnover for October was EUR 15,295.33 million; ETF turnover was EUR 40.07 million while that for bonds was EUR 7,511.57 million.
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Tokyo Stock Exchange Receives Approval To Open Representative Office From China Securities Regulatory Commission
Date 05/11/2007
Tokyo Stock Exchange, Inc. (TSE) has received approval to open representative office from China Securities Regulatory Commission (CSRC). This is the third approval for a foreign exchange to establish a representative office after the New York Stock Exchange and Nasdaq.
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Dubai Mercantile Exchange Sets Several New Records In Strong Finish To October Trading - New Highs Reached For Volume, Open Interest And Physical Delivery As Steady Growth Continues
Date 05/11/2007
The Dubai Mercantile Exchange Limited (DME) announced today that it set several new records in October to mark the strongest month of trading of its benchmark Oman Crude Oil Futures Contract since the launch of the Middle East’s first energy futures and commodities exchange on 1 June 2007.
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CME Group Chief Executive Officer To Present At Keefe, Bruyette & Woods 2007 Securities Brokerage & Market Structure Conference November 6
Date 05/11/2007
CME Group (NYSE, Nasdaq: CME) announced today that the Chief Executive Officer Craig Donohue will present at the Keefe, Bruyette & Woods 2007 Securities Brokerage & Market Structure Conference, to be held at the Le Parker Meridien Hotel in New York on Tuesday, November 6 at 3:00 p.m. (Eastern Time).
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DIFC Governor Welcomes The Institute Of Private Investors At Landmark Forum
Date 05/11/2007
In just three years the Dubai International Financial Centre (DIFC) has attracted nearly 500 top firms and a long list of the world's leading banks, a large group of high-profile private investors from the USA heard yesterday during a private conference at the DIFC.
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SEC Staff Releases Accounting Bulletin For Written Loan Commitments Recorded At Fair Value Under GAAP
Date 05/11/2007
The Securities and Exchange Commission's Office of the Chief Accountant and Division of Corporation Finance today announced the release of Staff Accounting Bulletin (SAB) No. 109, "Written Loan Commitments Recorded at Fair Value Through Earnings." The SAB provides the staff's views on the accounting for written loan commitments recorded at fair value under generally accepted accounting principles (GAAP).
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DIFC Governor Hosts Malaysian Crown Prince
Date 05/11/2007
The Dubai International Financial Centre (DIFC) today welcomed HRH Prince Duli Yang Teramat Mulia Raja Muda Perak Darul Ridzuan Raja Dr Nazrin Shah Ibni Sultan Azlan Muhibbuddin Shah who is visiting Dubai to explore opportunities between the UAE and Malaysia.
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National Stock Exchange Names Saro Jahani Senior Vice President Of Information Technology
Date 05/11/2007
National Stock Exchange(SM), Inc. (NSX(R)) today announced that Saro Jahani has been appointed Senior Vice President of Information Technology.
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Gilford Securities Joins The DIFC
Date 05/11/2007
Gilford Securities, the Wall Street based, privately owned investment banking firm announced today that it has been granted a full service license by the Dubai Financial Services Authority (DFSA) to provide investment banking services from within the Dubai International Financial Centre (DIFC). Gilford Securities opened its full service office in the DIFC on September 1, 2007
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FINRA Expels Franklin Ross, Inc. For Systemic Violations Of Anti-Money Laundering Rules - Firm's Current And Former Presidents Fined, Suspended For Failing To Investigate And Report Numerous Suspicious Securities Transactions
Date 05/11/2007
The Financial Industry Regulatory Authority (FINRA) announced today that it has expelled Franklin Ross, Inc. (FRI) of Princeton, NJ from FINRA membership for repeatedly violating anti-money laundering (AML) rules. FINRA also imposed fines and suspensions against two of the firm's principals - its former president, Mark G. Ross, Jr., and its current president, Kevin K. Herridge. By federal statute, a firm must be a FINRA member in order to conduct a public securities business.
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