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B3’s CEO And Executives Visit BYMA - The Visit Celebrated The Agreement Between Both Exchanges
Date 31/10/2018
Today, Gilson Filkelsztain, B3’s CEO, Juca Andrade, B3’s Chief Product and Client Officer, and Roberto Belchior, B3’s Market Development Director for Latin America and BYMA’s director, were welcomed by the president of BYMA (Buenos Aires Stock Exchange), Ernesto Allaria, in an event that celebrated the agreement between both exchanges.
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SEC Adopts Rules To Modernize Property Disclosures Required For Mining Registrants
Date 31/10/2018
The Securities and Exchange Commission today announced that it has voted to adopt amendments to modernize the property disclosure requirements for mining registrants, and related guidance, under the Securities Act of 1933 and the Securities Exchange Act of 1934. The amendments will provide investors with a more comprehensive understanding of a registrant’s mining properties, which should help them make more informed investment decisions. The amendments also will more closely align the Commission’s disclosure requirements and policies for mining properties with current industry and global regulatory practices and standards.
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Caribbean Catastrophe Risk Insurance Facility Makes Payout To Trinidad & Tobago After October Rains
Date 31/10/2018
CCRIF SPC (formerly the Caribbean Catastrophe Risk Insurance Facility) announced today that for the second year in a row, Trinidad & Tobago received a payout on its Excess Rainfall policy following a period of heavy rainfall in October. The Government received a payout of US$2,534,550 (approximately TT$17 million) due to heavy rains between October 18 and 20 2018.
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Cboe Global Markets To Present At The Bank Of America Merrill Lynch Future Of Financials Conference Tuesday, November 6
Date 31/10/2018
Cboe Global Markets, Inc. (Cboe: CBOE), one of the world’s largest exchange holding companies, announced today that Chris Concannon, President and Chief Operating Officer, will present at the Bank of America Merrill Lynch Future of Financials Conference in New York City on Tuesday, November 6, at 11:40 a.m. (Eastern Time).
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CFTC: DSIO Issues No-Action Relief Regarding Futures Commission Merchant’s Deposit Of Customer-Owned Securities As Margin With UK Broker
Date 31/10/2018
The Commodity Futures Trading Commission’s (CFTC) Division of Swap Dealer and Intermediary Oversight (DSIO) today issued a no-action letter to provide relief to a futures commission merchant (FCM) from certain requirements regarding the holding of customer-owned securities as margin for trading on foreign futures and options markets under CFTC regulations. This letter supersedes CFTC Letter No. 16-88 and was issued due to certain changes in the facts and circumstances represented in letter 16-88 resulting from changes to European laws.
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MiFID II: ESMA Publishes Data For The Systematic Internaliser Calculations For Equity, Equity-Like Instruments And Bonds
Date 31/10/2018
The European Securities and Markets Authority (ESMA) has published today data for the systematic internaliser calculations for equity, equity-like instruments and bonds under the Markets in Financial Instruments Directive (MiFID II) and Regulation (MiFIR).
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Statement From CFTC Chairman J. Christopher Giancarlo Regarding FCM’s Deposit Of Customer-Owned Securities As Margin With UK Broker Relief
Date 31/10/2018
Today’s no-action relief reflects the CFTC's continuing efforts to accommodate, where appropriate, cross-border derivatives activity in a changing global regulatory landscape.
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EBA Publishes Final Guidance On Management Of Non-Performing And Forborne Exposures
Date 31/10/2018
The European Banking Authority (EBA) publishes today its final Guidelines on management of non-performing and forborne exposures. The Guidelines, developed in accordance with the European Council Action Plan, aim to ensure that credit institutions have adequate prudential tools and frameworks in place to manage effectively their non-performing exposures (NPEs) and to achieve a sustainable reduction on their balance sheets. To this end, the Guidelines require institutions to establish NPE reduction strategies and introduce governance and operational requirements to support them.
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Fiserv Completes Acquisition Of Third-Party Debit Processing Solutions Of Elan Financial Services
Date 31/10/2018
Fiserv, Inc. (NASDAQ: FISV), a leading global provider of financial services technology solutions, today announced the completion of its acquisition of the debit card processing, ATM Managed Services and MoneyPass® surcharge free network of Elan Financial Services, a unit of U.S. Bancorp (NYSE: USB).
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SEC Updates List Of Firms Using Inaccurate Information To Solicit Investors - Updates Make It Easier For Retail Investors To Search Database
Date 31/10/2018
The Securities and Exchange Commission today announced that it has updated its list of unregistered entities that use misleading information to solicit primarily non-U.S. investors, adding 16 soliciting entities, four impersonators of genuine firms, and eight bogus regulators. The SEC also made technical updates to its database to make it easier for retail investors to search and obtain information about unregistered entities. The update to the database consolidates the active and archived lists.
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