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Statement Of CFTC Commissioner Kristin N. Johnson On Her Departure From The CFTC
Date 21/05/2025
It has been an honor and privilege to serve as a Commissioner at the Commodity Futures Trading Commission (CFTC). Having completed my full term, I have notified the President of my intent to step down as a CFTC Commissioner later this year. Although this is a difficult decision, I am proud of the work that I have accomplished and am deeply grateful for the chance to develop meaningful relationships with staff and current and former Commissioners during my tenure at the CFTC.
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Nodal Exchange Named Commodity Exchange Of The Year By Energy Risk
Date 21/05/2025
Nodal Exchange has been named 2025 Commodity Exchange of the Year for the third year in a row by Energy Risk magazine. The Energy Risk Awards recognize excellence in financial risk management across the global commodities markets. Energy Risk presented the Commodity Exchange of the Year award at a ceremony in Houston yesterday.
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Hedge Fund Trends: With Intelligence April 2025 Report Reveals USD3.9bn Inflows and Key Performance Insights
Date 21/05/2025
A monthly update by With Intelligence, a provider of investment intelligence for alternative assets, private markets, and public funds, provides a focused look at April's activity, given the significant market volatility experienced during the month.
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Nasdaq Announces Semi-Annual Changes To The OMX Copenhagen Benchmark™ Index
Date 21/05/2025
Nasdaq (Nasdaq: NDAQ) announced today the results of the semi-annual review of the OMX Copenhagen Benchmark™ Index, (Nasdaq Copenhagen: OMXCB™), which will become effective at market open on Monday, June 2, 2025.
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ISDA AGM Studio: Emmanuel Geinoz And Eleanor Kelly
Date 21/05/2025
Five jurisdictions went live with revised derivatives reporting rules in 2024, with more to follow in 2025 and beyond, putting reporting teams under extreme pressure to implement accurately and on time to avoid regulatory penalties. Emmanuel Geinoz, market infrastructure and derivatives expert at Pictet Group, and Eleanor Kelly, managing director, global markets regulatory reporting at JP Morgan, talk to Tara Kruse, ISDA’s global head of derivative products and infrastructure, about the challenges of implementation and the benefits of ISDA’s Digital Regulatory Reporting initiative.
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BC Securities Commission Imposes $50,000 Penalty On CEO For Failing To File Insider Reports
Date 21/05/2025
The Executive Director of the BC Securities Commission (BCSC) has imposed a $50,000 administrative penalty on the CEO of a publicly-traded company for failing to file timely reports of trading in securities.
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Basel Committee Continues To Prioritise Basel III Implementation, Progresses Work To Strengthen Supervisory Effectiveness And Discusses Finalisation Of Principles On Third-Party Risks
Date 21/05/2025
- The Basel Committee continues to prioritise the full and consistent implementation of Basel III.
- Progresses work to strengthen supervisory effectiveness based on the lessons learned from the 2023 banking turmoil.
- Aims to finalise principles for the sound management of third-party risk in the banking sector by the end of 2025.
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The EBA Observes That EU Deposit Guarantee Scheme Funds To Protect Depositors Against Bank Failures Have Reached €79bn
Date 21/05/2025
- All national deposit guarantee schemes (DGS) in the European Union (EU) have reached the envisaged minimum target level.
- The funds have been built up over a 10-year period through contributions from credit institutions and are directly available to reimburse depositors in the case of a bank failure.
- The amount of deposits protected by the DGSs increased by 3.2% to €8.6tn from 2023 to 2024.
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Scottish Widows Turns To AI To Speed Up Protection Insurance Claims And Underwriting With Sprout.ai
Date 21/05/2025
Scottish Widows, part of Lloyds Banking Group, has partnered with insurance automation firm Sprout.ai to trial the use of artificial intelligence (AI) designed to speed up life and critical illness insurance claims and underwriting.
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ESMA Asks Input On The Retail Investor Journey
Date 21/05/2025
The European Securities and Markets Authority (ESMA), the EU’s financial markets regulator and supervisor, has today launched a Call for Evidence (CfE) on the retail investor journey under MiFID II.