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Opening Address By Dato’ Mohammad Faiz Azmi Chairman, Securities Commission Malaysia At The SIDC Business Foresight Forum 2024 9:05am, 22 August 2024 Theme: “Investing In MSMEs For Impact”
Date 22/08/2024
Thank you to the Securities Industry Development Corporation (SIDC) for inviting me to deliver the opening address at the SIDC Business Foresight Forum.
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Circular Of Shanghai International Energy Exchange On The Trading Margin Rates And Price Limits Of Containerized Freight Index (Europe Service) Futures Contract
Date 22/08/2024
Shanghai International Energy Exchange has released its Circular on the Trading Margin Rates and Price Limits of Containerized Freight Index (Europe Service) Futures Contract as follows:
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Hong Kong Monetary Authority And Dubai Financial Services Authority Co-Host Climate Conference To Strengthen Sustainable Finance Cooperation Across Asia And The Middle East
Date 22/08/2024
The Dubai Financial Services Authority (DFSA) and the Hong Kong Monetary Authority (HKMA) announced today that the inaugural HKMA–DFSA Joint Climate Finance Conference will take place on 16 September 2024 in Hong Kong. The conference will be held in hybrid format.
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Shanghai International Energy Exchange Has Released Its Circular On The Adjustment Of Transaction Fee For Containerized Freight Index (Europe Service) Futures Contracts
Date 22/08/2024
Shanghai International Energy Exchange has released its Circular on the Adjustment of Transaction Fee for Containerized Freight Index (Europe Service) Futures Contracts as follows:
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ASIC Expands Strategic Priorities For Coming 12 Months
Date 22/08/2024
Australia’s public and private markets and emerging financial products will form a new pillar of ASIC’s expanded strategic priorities.
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Hong Kong Sees A Quarter Of Broad Market Growth, Firmer Ties And Regulatory Progress: Hong Kong Securities And Futures Commission’s Quarterly Report
Date 22/08/2024
The Hong Kong capital markets made encouraging, broad-based progress in the second quarter of 2024 as reflected by an array of data on asset management, listing, licensing and virtual assets, according to the Quarterly Report of the Securities and Futures Commission (SFC) published today.
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New Zealand Financial Markets Authority: CBL Managing Director Peter Harris Ordered To Pay $1.4m Penalty For Fair Dealing And Continuous Disclosure Breaches
Date 22/08/2024
The High Court has ordered Peter Harris, the former CBL Corporation Limited (In Liquidation) (CBLC) managing director, to pay a penalty of $1.4 million for continuous disclosure and misleading conduct breaches following proceedings brought by the Financial Markets Authority (FMA) – Te Mana Tātai Hokohoko – under the Financial Markets Conduct Act 2013 (FMCA) (the Continuous Disclosure Proceeding).
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SEC Adopts Rule To Update Definition Of Qualifying Venture Capital Funds - Rule Inflation Adjusts The Dollar Threshold To Be Considered A Qualifying Venture Capital Fund
Date 22/08/2024
The Securities and Exchange Commission today adopted a rule that updates the dollar threshold for a fund to qualify as a “qualifying venture capital fund” for purposes of the Investment Company Act of 1940. The rule updates the dollar threshold to $12 million in aggregate capital contributions and uncalled committed capital, up from the original threshold of $10 million.
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Minutes Of The Federal Open Market Committee, July 30–31, 2024
Date 21/08/2024
The Federal Reserve on Wednesday released the minutes of the Federal Open Market Committee meeting that was held on July 30–31, 2024.
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CFTC Revokes Registrations Of Introducing Broker, Commodity Pool Operator, And Associated Person For Violating CEA Antifraud Provisions
Date 21/08/2024
The Commodity Futures Trading Commission today announced it commenced actions to revoke the registrations of Purvesh Mankad, and his affiliated entities CTAX Partners, LLC and CTAX Series, LLC. The CFTC’s actions are based on the injunctions entered and findings made by the U.S. District Court for the District of Arizona in CFTC v. Mankad. [Case No. CV-21-01719-PHX-DJH.] The court found that each violated antifraud provisions of the Commodity Exchange Act (CEA). [See CFTC Press Release No. 8615-22].