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  • SEC: Remarks Before The AICPA National Conference On Banks & Savings Institutions: Advancing High-Quality Financial Reporting In Our Financial And Capital Markets, Wesley R. Bricker, Chief Accountant, Washington D.C., Sept. 11, 2017

    Date 11/09/2017

    Good morning and thank you Chip Currie for that very generous introduction.  It is an honor to be with each of you attending today’s AICPA National Conference on Banks & Savings Institutions.  As in prior years, this conference continues to serve as a forum for noteworthy discussions on economic, market, and regulatory developments, as well as an opportunity for dialogue among leaders and policy makers in the banking industry. 

  • Daniele Bianchi, Assistant Professor Of Finance, Warwick Business School, Comments On London Remaining First In The The Z/Yen Global Financial Centres Index

    Date 11/09/2017

    Commenting on London remaining first in the the Z/Yen global financial centres index, Daniele Bianchi, Assistant Professor of Finance, Warwick Business School said: "London's top spot is due to a combination of factors which won’t likely be affected in the wake of Brexit, such as the presence of one of the most trusted legal systems in upholding the rule of law, including the protection of creditor and shareholder rights; the superiority of the UK’s university education in economics and finance over its continental counterparts; and the UK’s tax and employment regulation system whereby financial services benefit from lower corporate tax rates and more flexible employment laws than, for instance, Germany and France.

  • EBA Issues Revised List Of ITS Validation Rules

    Date 11/09/2017

    The European Banking Authority (EBA) issued today a revised list of validation rules in its Implementing Technical Standards (ITS) on supervisory reporting, highlighting those which have been deactivated either for incorrectness or for triggering IT problems. Competent Authorities throughout the EU are informed that data submitted in accordance with these ITS should not be formally validated against the set of deactivated rules.

  • SEC, MSRB, FINRA To Hold Compliance Outreach Program For Municipal Advisors

    Date 11/09/2017

    The Securities and Exchange Commission, Municipal Securities Rulemaking Board (MSRB), and Financial Industry Regulatory Authority (FINRA) today announced the opening of registration for the Compliance Outreach Program for Municipal Advisors. 

  • London Stock Exchange Group Plc Transaction In Own Shares

    Date 11/09/2017

    London Stock Exchange Group plc (the "Company") announces that it has purchased through RBC Europe Limited, in accordance with the authority granted by shareholders at the Company's Annual General Meeting on 26 April 2017, the following number of its ordinary shares of 6 79/86 pence each ("Shares") on the London Stock Exchange as part of the buyback programme announced on 29 March 2017: