FTSE Mondo Visione Exchanges Index:
News Centre
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EBA Defines Harmonised Prudential Requirements For Central Securities Depositories (CSDs)
Date 16/12/2015
The European Banking Authority (EBA) published today its draft Regulatory Technical Standards (RTS) on prudential requirements for Central Securities Depositories (CSDs). These RTS will define a prudential framework for CSDs and harmonise calculations for their capital requirements which currently vary across Member States. These RTS have been developed within the framework of the Central Securities Depositories Regulation (CSDR) to increase the safety and efficiency of securities settlement and settlement infrastructures.
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CFTC Unanimously Approves Proposed Enhanced Rules On Cybersecurity For Derivatives Clearing Organizations, Trading Platforms, And Swap Data Repositories
Date 16/12/2015
The U.S. Commodity Futures Trading Commission (Commission) today voted unanimously to approve two proposals for amendments to existing regulations addressing cybersecurity testing and safeguards for the automated systems used by critical infrastructures the Commission regulates. The proposals will be open for public comment during a 60-day comment period after their publication in the Federal Register.
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ESMA Publishes Updated CRA Q&A
Date 16/12/2015
The European Securities and Markets Authority (ESMA) has published an updated questions and answers on the application of the Credit Rating Agencies Regulation.
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Financial Conduct Authority: Brookbourne Trading Limited
Date 16/12/2015
Brookbourne Trading Limited has been compulsorily wound-up by the High Court on the application of the Financial Conduct Authority (FCA) on the grounds that it was conducting regulated activity without the necessary authorisation from the FCA.
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Opening Statement Of CFTC Chairman Timothy Massad Before The Commission Open Meeting
Date 16/12/2015
Good morning. This meeting will come to order.
This is a public meeting of the Commodity Futures Trading Commission (CFTC). I’d like to welcome members of the public, market participants and members of the media, as well as those taking part on the phone or via webcast.
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SodaStream Will Begin Dual listing On Tel Aviv Stock Exchange
Date 16/12/2015
The Minister of Justice and SodaStream's management took part in the Opening Bell Ceremony at the Tel Aviv Stock Exchange (TASE), to mark the dual-listing of SodaStream shares on TASE. -
Finansinspektionen (FI): Decision Regarding The Countercyclical Buffer Rate
Date 16/12/2015
Finansinspektionen (FI) shall, in accordance with the Capital Buffers Act (2014:966), set a countercyclical buffer guide and a countercyclical buffer rate for each quarter.
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Qatar Stock Exchange: Awareness Session On Margin Trading
Date 16/12/2015
On the occasion of the launch of margin trading and as part of the policy aiming to promote knowledge and investment awareness among all investors, Qatar Stock Exchange (QSE), is pleased to invite its members, the press and all interested investors to attend the awareness session on margin trading Rules. QSE officials during the session which will be held on Monday, December 21, 2015, at 13.30 in the afternoon, on the second floor of the headquarters of the Qatar Stock Exchange, will explain all the details of the relevant rules of margin trading.
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FINRA Arbitration Task Force Issues Final Report - Explained Decisions, Increased Arbitrator Honoraria, Creation Of A Special Arbitrator Panel For Expungement Hearings Among Recommendations
Date 16/12/2015
A FINRA Dispute Resolution task force has issued its final report with recommendations detailed in the Final Report and Recommendations of the FINRA Dispute Resolution Task Force.
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SIFMA Statement On DOL Fiduciary Rule, Omnibus Appropriations Act
Date 16/12/2015
Today,SIFMA president and CEO Kenneth E. Bentsen, Jr. issued the following statement in response to introduction of the FY2016 Omnibus Appropriations Act, which did not include language to delay the Department of Labor's fiduciary rule proposal:
"We continue to believe the DOL rule as proposed will have negative consequences for retirement savers: restricting access to financial advice and raising the cost of saving. As we have repeatedly said, there are so many issues with the proposal, as evidenced by the thousands of substantive comments filed, that the Department should re-propose the rule."
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