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Remarks Of Counselor To The Secretary For Housing Finance Policy Dr. Stegman Before The Fitch Ratings 2015 House View Conference - RMBS
Date 23/04/2015
Kevin, thank you so much for that kind introduction and for inviting me to speak at today’s conference. After all the conversations with you and your colleagues as part of the credit rating agency exercise we released in February, it is the least I could do. Fitch was a great pleasure to work with, and I urge those of you who are not familiar with the exercise to find it on the Treasury web site. -
Ontario Securities Commission Publishes Report On Canadian Fixed Income Market And Details Next Steps To Enhance Regulation And Transparency
Date 23/04/2015
Today the Ontario Securities Commission (OSC) published The Canadian Fixed Income Market Report and OSC Staff Notice 21-708 - OSC Staff Report on the Canadian Fixed Income Market and Next Steps to Enhance Regulation and Transparency of Fixed Income Markets. Together, these materials summarize the OSC’s study of the fixed income markets and set out the steps the OSC will take to enhance the transparency and regulation of fixed income markets.
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US Department Of Justice: Assistant Attorney General Leslie R. Caldwell Delivers Remarks For The Deutsche Bank Manipulation Of Libor Conference Call
Date 23/04/2015
Today we announce the latest law enforcement action in our ongoing criminal investigation of the manipulation of LIBOR, the London Interbank Offered Rate, which is a critical benchmark interest rate used throughout the world. I am pleased to be joined on this call by my colleague and friend, Assistant Attorney General Bill Baer of the Antitrust Division.
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Alberta Securities Commission Terminates Registration Of Madison Peak Securities Ltd.
Date 23/04/2015
​The Alberta Securities Commission (ASC) has terminated the registration of Madison Peak Securities Ltd. as an exempt market dealer. The termination is effective immediately.
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US Department Of Justice: Assistant Attorney General Bill Baer Delivers Remarks For The Deutsche Bank Manipulation Of Libor Conference Call
Date 23/04/2015
It has been a privilege to work with Assistant Attorney General Caldwell and her talented Criminal Division colleagues on this important matter. The resolution with Deutsche Bank we are announcing today is one more key milestone in this investigation and demonstrates yet again the department’s continued commitment to prosecuting fraud and collusion in the financial industry.
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ISDA Elects 12 Board Members
Date 23/04/2015
The International Swaps and Derivatives Association, Inc. (ISDA) announced today the election of 12 directors at its 30th Annual General Meeting in Montreal.
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FINRA Orders RBC To Pay Fine And Restitution Totaling More Than $1.4 Million For Unsuitable Sales Of Reverse Convertibles
Date 23/04/2015
The Financial Industry Regulatory Authority (FINRA) today announced that it has ordered RBC Capital Markets to pay a $1 million fine and approximately $434,000 in restitution to customers for supervisory failures resulting in sales of unsuitable reverse convertibles.
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Delta Lloyd Bank Wins Securitisation Award 2015
Date 23/04/2015
Delta Lloyd Bank wins the Securitisation Award 2015 with Arena 2014 – I & II transactions. Participants at the IIR Securitisation Event today considered this initiative to have had the most significant positive contribution to the securitisation market in the past year.
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Statement Of U.S. Commodity Futures Trading Commissioner Sharon Bowen Regarding Trading Practices On SEFs
Date 23/04/2015
Commissioner Sharon Bowen of the Commodity Futures Trading Commission issued the following statement on the subject of the practice of name-give-up on Swap Execution Facilities (SEFs):
I was pleased to see the Chairman’s statement regarding greater anonymity on SEFs in his speech today. I have not heard a compelling justification for post-trade name-give-up in my many discussions with market participants regarding SEFs. In fact, the subject of whether trading on SEFs should be anonymous was raised earlier this month at the first meeting of the Market Risk Advisory Committee, and I believe there is broad support for ending the practice of post-trade name-give-up on SEFs.
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Amman Stock Exchange: The Companies’ First Quarter Reports For The Year 2015
Date 23/04/2015
The Chief Executive Officer (CEO) of the Amman Stock Exchange (ASE) Mr. Nader Azar, said that the ASE is still receiving the quarterly reports of the period ending in March 31, 2015, from all companies listed at the ASE which have been reviewed by their auditors.
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