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  • NZX Annual Report 2014 Published

    Date 26/03/2015

    NZX today issued its Annual Report for the year ended 31 December 2014. NZX’s online Annual Report can be accessed at the following link, and a PDF copy of the printed version is attached to this announcement.

  • Benjamin M. Lawsky, Superintendent Of Financial Services Letter To Insurers On Cyber Security

    Date 26/03/2015

    Dear Chief Executive Officer, General Counsel, and Chief Information Officer:

    In an effort to promote greater cyber security across the financial services industry, the New York State Department of Financial Services (the "Department") has expanded its information technology ("IT") examination procedures to focus more attention on cyber security. The Department encourages all institutions to view cyber security as an integral aspect of their overall risk management strategy, rather than solely as a subset of information technology. To that end, the Department intends to incorporate new questions and topics into the existing IT examination framework.

  • CBOE, C2 And CFE Trading Schedule For The Good Friday Holiday

    Date 26/03/2015

    CBOE Holdings, Inc. (NASDAQ: CBOE) today announced the trading schedule for Chicago Board Options Exchange®(CBOE®), C2 Options Exchange (C2) and CBOE Futures Exchange (CFE®) in observance of the Good Friday holiday on April 3.

  • FINRA Sanctions Oppenheimer & Co. $3.75 Million For Supervisory Failures - FINRA Sanctions Oppenheimer & Co. $3.75 Million For Supervisory Failures

    Date 26/03/2015

    The Financial Industry Regulatory Authority (FINRA) announced today that it has fined Oppenheimer & Co. Inc. $2.5 million and ordered the firm to pay restitution of $1.25 million for failing to supervise Mark Hotton, a former Oppenheimer broker who stole money from his customers and excessively traded their brokerage accounts. FINRA permanently barred Mark Hotton from the securities industry in August 2013.

  • Finansinspektionen - Swedish Financial Supervisory Authority - Supervision Of The Securities Market

    Date 26/03/2015

    Three key areas are the focus of FI's new report Supervision of the securities market; financial infrastructure, transparency on the securities market as well as new rules for market supervision and the enforcement of financial information.