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Date 26/07/2013
Bursa Malaysia Derivatives’ Open Interest Hits All Time High - Surpassing 250,000 Contracts For All Products And 200,000 Contracts For FCPO
Bursa Malaysia ended the day with two new historical record highs. Open Interest (OI) for all products hit a new high of 251,994 contracts at the end of day on Thursday 25th July, whilst FCPO saw 201,209 contracts remained open at the end of the same day.
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Date 26/07/2013
Monetary Authority Of Singapore: Establishment Of An Arrangement For The Provision Of Singapore Dollar Liquidity Against Japanese Government Securities As Collateral
Bank of Japan (BOJ) and the Monetary Authority of Singapore (MAS) have established a cross-border collateral arrangement to enhance financial stability in Singapore.
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Date 26/07/2013
NZX 1H13 Shareholder Metrics
Please find attached first half 2013 Shareholder Metrics
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Date 26/07/2013
Australian Shares Long-Term Star Performer But Active Diversification The Key Ahead - Investors Must Respond To Dramatically Different Market Dynamics To Achieve Long-Term Investing Success In Next 10-20 Years
Australian shares have outperformed other asset classes over the past 10 and 20 years, according to the latest Russell Investments/ASX Long-Term Investing Report, but Russell warns investors need to be truly diversified and take a more active approach to deal with an increasingly changing market environment for the next 10-20 years.
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Date 26/07/2013
NZX 2Q13 Regulation Metrics
Please find attached second quarter 2013 Regulation Metrics
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Date 25/07/2013
Canadian Securities Regulators Enter Into Supervisory Cooperation Arrangements With EU And EEA Financial Regulators
The Ontario Securities Commission (OSC), Autorité des marchés financiers (AMF), Alberta Securities Commission (ASC) and British Columbia Securities Commission (BCSC) today announced they have entered into supervisory Memorandums of Understanding (MOUs) with financial regulators of member states of the European Union (EU) and European Economic Area (EEA) regarding the supervision of alternative investment fund managers as required under the EU Alternative Investment Fund Managers Directive.
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Date 25/07/2013
Manhattan U.S. Attorney And FBI Assistant Director In Charge Announce Insider Trading Charges Against Four SAC Capital Management Companies And SAC Portfolio Manager - SAC Management Companies Allegedly Engaged In Decade-Long Insider Trading Scheme On A Scale Without Known Precedent In Hedge Fund Industry - SAC Portfolio Manager Responsible For $1.25 Billion “Special Situations” Fund Has Pled Guilty To Insider Trading
Preet Bharara, the United States Attorney for the Southern District of New York, and George Venizelos, the Assistant Director in Charge of the New York Office of the Federal Bureau of Investigation (FBI), announced today the unsealing of insider trading charges against four companies—S.A.C. CAPITAL ADVISORS, L.P. (SAC Capital LP), S.A.C. CAPITAL ADVISORS, LLC (SAC Capital LLC), CR INTRINSIC INVESTORS, LLC (CR Intrinsic), and SIGMA CAPITAL MANAGEMENT, LLC (Sigma Capital); (collectively the SAC Companies). The SAC Companies are responsible for the management of a group of affiliated hedge funds (collectively the SAC Hedge Fund or SAC). Charges were also unsealed today against RICHARD LEE, a portfolio manager employed by SAC Capital LP, who focused on “special situations” like mergers and acquisitions, private equity buy-outs, and corporate restructurings in publicly traded companies across various industry sectors. LEE pled guilty on July 23, 2013, before U.S. District Judge Paul G. Gardephe, to conspiracy and securities fraud charges in connection with his work at SAC Capital LP.
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Date 25/07/2013
Five Indicted in New Jersey for Largest Known Data Breach Conspiracy - Hackers Targeted Major Payment Processors, Retailers and Financial Institutions Around the World
A federal indictment made public today in New Jersey charges five men with conspiring in a worldwide hacking and data breach scheme that targeted major corporate networks, stole more than 160 million credit card numbers and resulted in hundreds of millions of dollars in losses. It is the largest such scheme ever prosecuted in the United States.
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Date 25/07/2013
SEC Charges Former Portfolio Manager At S.A.C. Capital With Insider Trading
The Securities and Exchange Commission today charged a former portfolio manager at S.A.C. Capital Advisors with insider trading ahead of major announcements by technology companies.
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Date 25/07/2013
Program Trading Averaged 28.6 Percent Of NYSE Volume During July 15-19
The New York Stock Exchange, a subsidiary of NYSE Euronext (NYX), today released its weekly program-trading data compiled from member firms’ executed volume from NYSE’s orders database. The report includes trading on the NYSE for July 15-19.
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