Mondo Visione Worldwide Financial Markets Intelligence

FTSE Mondo Visione Exchanges Index:

News Centre

  • Moscow Exchange: Calculation Of Stress Collateral Requirement During New Year/Christmas Public Holidays

    Date 29/12/2021

    CCP NCC is changing standard period of stress collateral requirement calculation and sets the following schedule:

    • Stress collateral will not be calculated on December 28, 2021 and on January 4, 2022.
    • Stress collateral will be calculated on December 30, 2021 according to the following schedule:

  • Singapore And China Expand Financial Cooperation Through New Initiatives

    Date 29/12/2021

    The Monetary Authority of Singapore (MAS) today announced new initiatives to expand and strengthen financial cooperation between Singapore and China, particularly in capital markets and green finance. These initiatives were discussed at the 17th Joint Council for Bilateral Cooperation (JCBC) between Singapore and China. The JCBC was co-chaired by Singapore Deputy Prime Minister and Coordinating Minister for Economic Policies, Mr Heng Swee Keat, and People’s Republic of China Executive Vice Premier of the State Council, Mr Han Zheng. 

  • Dubai Financial Services Authority Changing To A Monday To Friday Working Week

    Date 29/12/2021

    Following the UAE Federal Government’s recent initiative, please be informed that the DFSA is changing to a Monday to Friday working week effective 3 January 2022. The DFSA’s offices will be open from 8am to 5pm from Monday to Friday.

  • Deutsche Bank AG: BaFin Imposes Administrative Fine

    Date 29/12/2021

    On 28 December 2021, BaFin imposed an administrative fine amounting to 8.66 million euros on Deutsche Bank AG.

  • Shanghai Gold Exchange: Notice On Market Risk Control During The New Year In 2022

    Date 29/12/2021

    As the New Year’s Day holiday approaches, all members are requested to raise their awareness of risk management, make detailed risk contingency plans, maintain smooth operation of the market, protect the interests of investors, and remind investors to be prudent in risk management, reasonably control open interest, and invest rationally.