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CME Group Declares Dividend
Date 08/11/2017
CME Group Inc., the world's leading and most diverse derivatives marketplace, today declared a fourth-quarter dividend of $0.66 per share, payable December 27, 2017, to shareholders of record as of December 8, 2017.
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CFTC Swaps Report Update
Date 08/11/2017
CFTC's Weekly Swaps Report has been updated, and is now available.
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Improving Investment Adviser Compliance, Peter B. Driscoll, SEC Acting Director, Office Of Compliance Inspections And Examinations, GIPS Standards Annual Conference, Sept. 14, 2017
Date 08/11/2017
I. Introduction
Thank you for that kind introduction and for inviting me to speak at this event.Before starting my remarks, let me give the requisite reminder that the views I express today are my own and do not necessarily represent the views of the Commission or its staff.
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Statement To The Subcommittee On Monetary Policy And Trade House Financial Services Committee - David R. Malpass, Under Secretary Of The US Treasury For International Affairs
Date 08/11/2017
Chairman Barr, Ranking Member Moore, and Members of the Financial Services Monetary Policy and Trade Subcommittee, thank you for holding this hearing and for inviting me to testify this morning.
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US Treasury Announces Ken Blanco As FinCEN Director
Date 08/11/2017
The U.S. Department of the Treasury announced Kenneth A. Blanco today as Director of the Financial Crimes Enforcement Network (FinCEN), a bureau in Treasury’s Office of Terrorism and Financial Intelligence (TFI).
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ESMA Updates Benchmarks Q&As On Third Country Issues
Date 08/11/2017
The European Securities and Markets Authority (ESMA) has published updated Questions and Answers (Q&As) regarding the implementation of the Benchmarks Regulation (BMR).
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UK's Financial Conduct Authority Decides To Ban Tom Hayes
Date 08/11/2017
The Financial Conduct Authority (FCA) has decided to prohibit Tom Hayes from performing any function in relation to any regulated activity in the financial services industry. The FCA considers that Mr Hayes is not a fit and proper person as a result of his conviction for conspiracy to defraud in relation to the manipulation of Yen LIBOR.
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Irish Stock Exchange: ADNOC Lists One Of The Middle East’s Largest Non-Sovereign Bonds On GEM
Date 08/11/2017
ADCOP, the 100% subsidiary of the Abu Dhabi National Oil Company (ADNOC) Group, lists for the first time on the Global Exchange Market (GEM) of the Irish Stock Exchange (ISE).
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SIX Swiss Exchange Statistical Monthly Report October 2017: Almost 10% More Transactions
Date 08/11/2017
The statistical monthly report contains the latest trade and turnover figures for SIX Swiss Exchange.
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Governance And Transparency At The Commission And In Our Markets, SEC Chairman Jay Clayton, Remarks At The PLI 49th Annual Institute On Securities Regulation - New York, N.Y., Nov. 8, 2017
Date 08/11/2017
Thank you, Keith [Higgins], for that gracious introduction. Let me return the sentiment. Keith – you are a member of an esteemed group of Division Directors, some of whom are here today, who have served the Commission and, most importantly, investors very well. The PLI 49th Annual Institute on Securities Regulation demonstrates the efforts by many to ensure that there is continuous education about the securities laws, as well as ongoing, candid dialogue about the state of our securities markets. I am honored to be here.
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