FTSE Mondo Visione Exchanges Index:
News Centre
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KRX Will Exempt Trading Fee For Mini KOSPI 200 Futures And Options
Date 29/10/2015
Korea Exchange (KRX) has decided to exempt the trading fee and clearing fee for Mini KOSPI 200 futures and options trading for 2 months from November 2 to December 30, 2015. -
MNI Russia Business Sentiment Indicator: Russia Business Sentiment Falls Back Into Contraction- Perception Of Exchange Rate Sours As Rouble Pushes Up Prices
Date 29/10/2015
Executives on our panel of large Russian companies reported that business conditions had taken a turn for the worse in October as inflationary pressures flared up following the recent rouble depreciation. The MNI Russia Business Sentiment Indicator fell 8.9% to 48.3 in October from 53.0 in September, the lowest since April.
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KRX Obtained An Acknowledgement As A Clearing Organization From CFTC
Date 29/10/2015
Korea Exchange (KRX) has obtained an acknowledgement as an Derivatives Clearing Organization (DCO)* from the U.S. Commodity Futures Trading Commission (CFTC)** on October 26, 2015. -
Shanghai Stock Exchange, Deutsche Börse And China Financial Futures Exchange Jointly Establish CEINEX - Signing Of The Shareholder Agreement During Chinese-German Government Consultation In Beijing
Date 29/10/2015
Shanghai Stock Exchange (SSE), Deutsche Börse Group and China Financial Futures Exchange (CFFEX) today officially founded their joint venture “China Europe International Exchange”. This new marketplace for the trading of RMB-denominated offshore products will be launched on 18 November 2015 under the new brand CEINEX.
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NZX: Smartshares To Launch 4 New Exchange Traded Funds
Date 29/10/2015
Smartshares, NZX’s Exchange Traded Funds (ETFs) business, is pleased to announce it has registered two prospectuses for the launch of four new ETFs to complement its existing 19 Smartshares ETFs.
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China Foreign Exchange Trade System And Deutsche Börse Sign Cooperation Agreement
Date 29/10/2015
China Foreign Exchange Trade System (CFETS) and Deutsche Börse today entered into a strategic cooperation agreement to connect the respective markets and foster product innovation. The cooperation agreement was signed by Sun Jie, Executive Vice President of CFETS, and Carsten Kengeter, CEO of Deutsche Börse AG, in the presence of the Chinese Prime Minister Li Keqiang and the German Chancellor Angela Merkel. The signing ceremony took place in Beijing during the Chinese-German government consultation.
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Term Of Ontario Securities Commission Chair And CEO Howard Wetston Ends
Date 28/10/2015
After five years, Howard I. Wetston, Q.C., Chair and CEO of the Ontario Securities Commission (OSC) will reach the end of his term on November 14, 2015.
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SIFMA Market Close Recomendation For The US Veterans Day Holiday
Date 28/10/2015
SIFMA has confirmed its previous recommendations for a full market close on Wednesday, November 11 for the trading of US dollar-denominated fixed-income securities in the U.S., UK and Japan in observance of the U.S. Veterans Day Holiday.
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CBOE Holdings Declares Fourth-Quarter 2015 Dividend
Date 28/10/2015
CBOE Holdings, Inc. (NASDAQ: CBOE) announced today that its Board of Directors has declared a quarterly cash dividend of $0.23 per share of common stock payable on December 18, 2015, to the unrestricted common stockholders of record on December 4, 2015.
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New York State Department Of Financial Services Announces Goldman Sachs To Pay $50 Million - Accept Three-Year Regulatory Consulting Abstention - Admit Failure To Supervise For Banking Law Violations - Goldman Sachs Employee Schemed To Steal Confidential Regulatory Information, And Improperly Shared That Information With Other Goldman Employees - Goldman Employee Worked For Goldman Client He Was Charged With Examining Months Earlier As A Regulator
Date 28/10/2015
Anthony J. Albanese, Acting Superintendent of Financial Services, today announced the resolution of an enforcement action against Goldman Sachs after a Goldman Sachs employee schemed to steal confidential regulatory and government information for use in advising a Goldman Sachs client, and improperly shared that information with other Goldman Sachs employees – in violation of New York Banking Law §36(10).
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